Year End Accounts: To prepare annual accounts under UK accounting standards (FRS 102).
CT600: To prepare corporation tax computations and completion of tax returns.
Monthly Reporting: To understand the varying requirements and timescales for a range of clients in producing monthly management accounts.
Bookkeeping: To proactively manage a portfolio of clients and ensure all relevant accounting information is processed regularly into their ledgers.
VAT: To prepare VAT returns following completion of the relevant bookkeeping periods.
Reconciliations: As part of the bookkeeping and monthly reporting processes, be able to fully reconcile balance sheet accounts including bank, accounts receivable/payable, fixed assets, payroll taxes, and intercompany balances.
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