No Of Positions-5
Eligibility Criteria- ACCA Affiliates
- Balance and maintain accurate ledgers for clients across various industries.
- Match purchase orders with invoices and ensure correct allocation of entries.
- Coordinate bank deposits and prepare periodic financial reports for internal or client use.
- Monitor office expenses, reconcile petty cash, and record cash receipts.
- Pay vendor invoices and maintain up-to-date bank account reconciliations.
- Prepare and present monthly financial statements, including cash flow statements, P&L, and balance sheets.
- Assist in preparation of quarterly and monthly VAT returns and other tax filings.
- Support payroll processing and reconciliation of payroll-related entries.
- Maintain proper documentation and audit trails in accordance with client and firm standards.
- Collaborate with UK-based teams to resolve queries and ensure client satisfaction.
ACCA Qualified Or Equivalent UK Recognized Qualifications.
2-4 years of experience.
Understanding of UK accounting principles and VAT regulations.
Proficiency in Microsoft Excel and Quickbooks
Attention to details.
Good communication skills.