Some of your duties will include:
- Providing support to the Partners, Audit Manager and Tax Manager with client accounts
- Assisting with the preparation of accounts on behalf of a wide range of clients
- Completing bookkeeping function on behalf of clients both in house and at their premises
- Producing sales, purchase and nominal ledger records up to trial balance level
- Preparing profit and loss reports and completing balance sheet reconciliations
- Assisting with the production of annual client accounts and statutory submissions
Reference no: 5056
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