Ensuring that client sales invoices, sales ledgers and bank accounts are reconciled and are accurate
Conducting a daily / monthly reconciliation of bank accounts
Ensuring receivables are collected promptly and are accurately recorded
Preparing monthly reconciliation of all balance sheet accounts
Prepare monthly management accounts
Prepare clients statutory financial statements
Provide ad hoc information when required
Preparation and management of payroll and pension contributions for internal and client teams
Attend client meetings both in the office and onsite as required
Working as part of a team to undertake a variety of financial management tasks
Being the primary day to day communication contact for financial accounting liaison with clients
Understanding workload requirements, and scheduling/ completing compliance workflows within time deadlines
To take ownership so that your clients meet all statutory and compliance obligations, including statutory accounting and VAT
Keeping the team fully informed of any issues and problems, ensuring the work is completed to a level agreed with the manager and recording clearly and concisely the work carried out
Gaining familiarity with our software, apps and workflows to deliver consistently high quality output
Resolving queries and issues raised internally as well as with clients
Prioritizing tasks whilst monitoring time against budget (timesheets)