Job description
Manage an outsourced accounting portfolio for allocated clients Perform full bookkeeping functions including processing and reconciliations Prepare and review bank, creditor, and VAT reconciliations Process payroll for allocated clients and ensure statutory compliance Prepare and submit tax returns, provisional tax, VAT, EMP201, and related submissions Prepare monthly management accounts for clients Compile annual financial statements in line with relevant standards Plan and manage all client dโฆ