Responsibilities:
• You will be responsible of Month-end finalization, Audit Support, Cash Flow Management, Balance Sheet Analysis & Profit & Loss Analysis.
• You will be required to solve routine problems, largely through precedent and referral to general guidelines.
• Managing team as Full-Time Equivalent.
• You will need to be well versed with basic statistics and terms involved in the day-to-day business.
• You will need to be a team player and help with overall team workload when required
• Maintaining records of the assignment.
• You will be an individual contributor, with a predetermined focused scope of work.
• Reviewing small and medium-size UK company’s accounts.
• Resolving queries of team members and coordinating with the client
• Calculating TAT and allocating work to the members.
• Core Accounting & Management Reporting.