Description
• Responsibility for generating all corporate reporting for SSP
• Supporting statutory accounts preparation and audit across the SSP territories
• Liaising with tax authorities and advisors, including planning and compliance
• Developing reporting processes and controls
• Cash, intercompany and working capital management
Delivery of corporate reporting for the SSP including analysis, commentary and reporting packs in line with group reporting deadlines
• Liaising with entities across SSP and external advisors over a range of taxes including VAT, corporate tax, income tax and stamp duties including planning and projects and the Group transfer pricing policy
• Responsibility for managing cash and intercompany balances including reconciliations, group transfers, monitoring working capital and reporting to Group
• Support the development and standardisation of reporting processes and controls across the group
• Support the preparation and completion of financial statements and liaising with territories to support completion across SSP
• Support compliance and risk management across the group
• Support the Group and statutory audit of financial statements and tax positions, liaising with local advisors where required
• Undertake and manage ad-hoc projects
• Supporting a culture of continuous improvement and high performance within the team
• Any other reasonable duties as requested by management
Worker Type
Regular