Key Responsibilities
Prepare bank reconciliations Prepare bookkeeping ready to input into accounts Prepare management accounts, financial statements and other management information Prepare VAT return computations Prepare IOM/UK tax computations Ensure that relevant account balances are reconciled as necessary Prepare analysis of accounts / loan interest calculations etc. Contribute to the preparation and coordination of the audit process for clients Contribute to implementing and maintaining internal financial controls and procedures Pro-actively assist managers and directors of the company with their duties as appropriate Build relationships with clients Escalate matters to managers and/or directors where required Supporting with new client on-boarding Assisting with office administrative tasks where required
Key Skills & Experience Previous experience in a similar role/environment Ability to maintain confidentiality Able to build relationships with clients Knowledge of IOM/UK tax regulations would be advantageous IT literate and proficient with Microsoft Excel
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