Ensure strong financial controls and operational accuracy, including accruals calculation and monitoring, cash flow accuracy, timely recovery from intercompany vendors, creation of cost centres/WBS, and maintaining correct financial postings.
Build strong partnerships across BAT entities and GBS teams, ensuring timely information flow, resolving technical issues, supporting recharge processes, and performing ad‑hoc financial analysis as needed.
Manage intercompany recharges end‑to‑end, including quarterly/monthly invoicing, BPC posting (PL & BS), ensuring contracts are in place, and supporting accurate SAP financial data for revenues, accruals, and cash recovery.
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Ensure strong financial controls and operational accuracy, including accruals calculation and monitoring, cash flow accuracy, timely recovery from intercompany vendors, creation of cost centres/WBS, and maintaining correct financial postings.
Build strong partnerships across BAT entities and GBS teams, ensuring timely information flow, resolving technical issues, supporting recharge processes, and performing ad‑hoc financial analysis as needed.
Manage intercompany recharges end‑to‑end, including quarterly/monthly invoicing, BPC posting (PL & BS), ensuring contracts are in place, and supporting accurate SAP financial data for revenues, accruals, and cash recovery.
...
Ensure strong financial controls and operational accuracy, including accruals calculation and monitoring, cash flow accuracy, timely recovery from intercompany vendors, creation of cost centres/WBS, and maintaining correct financial postings.
Build strong partnerships across BAT entities and GBS teams, ensuring timely information flow, resolving technical issues, supporting recharge processes, and performing ad‑hoc financial analysis as needed.
Manage intercompany recharges end‑to‑end, including quarterly/monthly invoicing, BPC posting (PL & BS), ensuring contracts are in place, and supporting accurate SAP financial data for revenues, accruals, and cash recovery.
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