Financial Statements / Accounts : Review and prepare financial statements from client books on FRS 102, FRS 102 1a, and FRS 105.Year-End Accounts : Prepare year-end accounts, including bank reconciliation, depreciation, and reconciliation of debtors, creditors, VAT, and PAYE ledgers.Journal Adjustments : Perform end-of-year journal adjustments and general ledger scrutiny.Accounting Records : Reconcile and streamline company accounting records by inputting all payments, expenses, and financial transactions into accounting software.Error Investigation : Investigate and report potential errors or problems in financial books to management.Corporate Tax Returns : Perform quality control reviews of corporate tax returns for a diverse client base and prepare income tax provisions on various software (e.g., Alfa tax, IRIS, and Tax Calc).Tax Advice : Provide clients with business tax advice on developing and implementing tax-efficient structures.Client Correspondence : Handle correspondence with clients regarding tax-related matters, such as tax authority orders, refund claims, and tax information analysis.Compliance : Manage corporate tax compliance and submit tax returns on behalf of clients.Skills Required
Financial Statement Analysis, Tax Compliance, General Ledger