Preparation of cash flows reports
Maintenance of financial ledgers and accounting processes
Preparation of Monthly Consolidated P&L and Balance Sheet
Timely production of statutory and internal financial reports
Financial modeling and analysis
Cash management and treasury duties
Ensuring that appropriate systems and internal controls are implemented and maintained
Overseeing the Payroll process
Preparation of tax reports
Review procedure and insure full implementation and buy in from finance and non-finance departments
Support business by providing dashboards, comments on major variance vs budget
Support regional project implementation when needed
AstraZeneca embraces diversity and equality of opportunity. We are committed to building an inclusive and diverse team representing all backgrounds, with as wide a range of perspectives as possible, and harnessing industry-leading skills.
We believe that the more inclusive we are, the better our work will be. We welcome and consider applications to join our team from all qualified candidates, regardless of their characteristics.
We comply with all applicable laws and regulations on non-discrimination in employment (and recruitment), as well as work authorisation and employment eligibility verification requirements.