1. Responsible for the day to day management of financial services including bought ledger, financial and capital accounting, income, credit control, Accounts Payable, Accounts Receivable and other financial controls. 2. Monthly preparation of financial reports, budgets, cost reports and financial forecasts to aid strategic decision making. Ensuring all financial data is well documented within the department and all records are accurate and up to date. 3. Established balance sheet and cash flow forecasting models, ensuring greater financial control 4. Prepared and delivered presentation on Resource Accounting and Budgeting 5. Introduced new reconciliations at transaction level, improving and reducing suspense items 6. Developed process and systems improvements to general ledger