Job description
Balance and maintain accurate ledgers
Match purchase orders with invoices
Coordinate bank deposits and report financial results on a regular basis to management
Monitor office expenses and tally and enter cash receipts
Pay vendor invoices and track bank account balances
Develop monthly financial statements, including cash flow, profit and loss statements and balance sheets
Prepare quarterly and monthly tax returns, along with payroll, operating and business taxes
Skills
Bachelor’s Degree in Accounting or related field
2 years' experience working in UK Accounting (Bookkeeping)
Strong knowledge of generally accepted accounting principles
Proficiency in Microsoft Office, Excel and QuickBooks