Key Responsibilities & Duties: * Oversee a substantial portfolio of SME clients, acting as the main point of contact and coordination for the delivery of accounting and tax compliance services, which includes:Preparation of financial statements (non-audit)Corporate tax complianceCompany secretarial compliancePayroll managementVAT services * Supervise and manage the workflow of staff in the non-audit department. * Provide high-level technical support to bot
Key Responsibilities & Duties: * Oversee a substantial portfolio of SME clients, acting as the main point of contact and coordination for the delivery of accounting and tax compliance services, which includes:Preparation of financial statements (non-audit)Corporate tax complianceCompany secretarial compliancePayroll managementVAT services * Supervise and manage the workflow of staff in the non-audit department. * Provide high-level technical support to bot
Key responsibilities: Managing a diverse and interesting portfolio of assurance clients and ensuring that assurance assignments are planned, executed, reviewed, and completed in a timely manner to an excellent standard.Managing, mentoring, and motivating trainees and part and fully qualified seniors ensuring that constructive feedback is provided from assignments/reports and fully participating in all Performance Management initiatives as required. Deliver
Key responsibilities: Managing a diverse and interesting portfolio of assurance clients and ensuring that assurance assignments are planned, executed, reviewed, and completed in a timely manner to an excellent standard.Managing, mentoring, and motivating trainees and part and fully qualified seniors ensuring that constructive feedback is provided from assignments/reports and fully participating in all Performance Management initiatives as required. Deliver
Role OverviewAs a Fund Accountant, you will be responsible for delivering accurate and timely NAV calculations, reconciliations, and financial reporting for a portfolio of investment funds. The ideal candidate will bring strong analytical skills, attention to detail, and a proactive mindset to support our growing client base.Key ResponsibilitiesPrepare and review daily/weekly/monthly NAV calculations for assigned fundsPerform cash, position, and market val
Role OverviewAs a Fund Accountant, you will be responsible for delivering accurate and timely NAV calculations, reconciliations, and financial reporting for a portfolio of investment funds. The ideal candidate will bring strong analytical skills, attention to detail, and a proactive mindset to support our growing client base.Key ResponsibilitiesPrepare and review daily/weekly/monthly NAV calculations for assigned fundsPerform cash, position, and market val
Responsibilities: ● Responsibility for the day-to-day management of the Finance office reporting daily to the Financial Director● Have responsibility for accurate accounting records and provide financial reports for the Group.● Regularly review the Balance Sheet, ensuring reconciliations are performed of all controlled accounts and that all balances are explained.● Drive accountability for controls into the relevant departments to enable Finance to act a
Responsibilities: ● Responsibility for the day-to-day management of the Finance office reporting daily to the Financial Director● Have responsibility for accurate accounting records and provide financial reports for the Group.● Regularly review the Balance Sheet, ensuring reconciliations are performed of all controlled accounts and that all balances are explained.● Drive accountability for controls into the relevant departments to enable Finance to act a
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