Job Location : London, UK
Responsibilities
· Processing of all payments for vendors, suppliers
· Preparation of weekly payment run
· Reviewing VAT returns
· Delivery of monthly and quarterly information for management accounts
· First line review of monthly and quarterly management accounts
· First line review of financial accounting of the corporate entities including UK corporate, LLPs, LPs and international entities, including outsourced entities.
· First line review of work undertaken by outsourced accountants
· Supporting financial controller with audit
· Liaise with fund accounting team to ensure smooth provision of data between fund and corporate entities, re-invoicing, invoicing
· Preparing aged debtors report and ensuring recovery of aged receivables
· Delivery of regulatory reporting requirements timely and accurately
· Review staff expenses and ensuring it meets internal guidelines
· Maintain current systems including continuous improvement of processes and systems
· Maintaining fixed assets schedule
· Assisting with PSA, P11D filings
· Assisting with the accounting and administration of other corporate entities
· Assisting with Partnership tax returns, FATCA and CRS filing
· Providing support to Financial Controller and COO on ad hoc operation tasks
Skills & Experiences Required
Finalist or qualified ACCA, ACA, CIMA
· Previous finance experience in private equity or infrastructure industry desirable, minimum 2 years.
· Previous experience of regulatory and statutory reporting for various entity types (Corpo-rate, LLPs, LPs, overseas entities).
· Able to work calmly and accurately under pressure
· Knowledge of UK GAAP (FRS102) desirable.
· Attention to detail
· An ability to work under pressure and to coordinate multiple work streams
· Intermediate or Advanced in MS Office products
· Good communicator; strong written and oral presentation abilities. Needs to be persuasive and credible.
· Ethical, collaborative, organized, flexible, high-energy, self-starter, accountable, humble
Salary : -
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