Preparation of quarterly Mura management accounts and forecasts Preparation of companies CTDs Preparation of audit files and liaise with auditors as required WLDL profit allocations and calculations of profit share (periodically and at year end) Caseware accounts and CT600s- developments and rentals Periodic review of solicitor suspense, trade creditor and bank balances Draft VAT registrations and OTTs Post site purchase and sales completion statements and set up control sheets where multiple unit sales Preparation of VAT returns to ensure compliance with legislation including partial exemption calculations Ensure compliance with bank covenants for various loan facilities Authorising bank payments using online banking software Formation and strike-off of companies Support to team and business as required This position is particularly suitable for Practice candidates seeking their first foray into industry, therefore applications are welcomed from Qualified/ finalist Practice Accountants. Please apply if you have the pre-requisite experience as detailed above, or call Armstrong Knight for further details about this opportunity.
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