To support a Team of accountants within the Private Equity Team deliver accounting services to a portfolio of clients through completion of bookkeeping, data uploads and other accounting related tasks as assigned.
What you'll be doing
Performing periodic cash at bank reconciliation.
Preparation of investment reports;
Completion of bookkeeping and preparation of quarterly management accounts;
Support in the computation of contractual accruals
Annual accounts preparation for simple sets of financial statements reporting under applicable Generally Accepted Accounting Principles (GAAP).
Supporting the team with day-to-day tasks, which includes account reconciliations and analysis.
Communicating with clients and other stakeholders such as auditors and other Gen II internal teams to provide financial information and supporting documents, and responding to enquiries.
Direct responsibility for ensuring timely and efficient completion of tasks allocated.
The ideal background for this role:
Qualifications
Minimum of 2 A - levels and 3 GCSEs and (or equivalent qualifications) including English and Maths.
Be studying/willingness to study towards an appropriate accounting qualification such as ACCA/ACA is desirable.
Knowledge and Experience
Experience in using Microsoft Office applications such as Excel and Word.
Experience in bookkeeping accounting transactions.
Experience in preparing financial statements is desirable.
An awareness and understanding of the local finance industry, legislation and regulatory requirements in which we operate is desirable.
Proficient in written and verbal English, with the ability to write concise emails, take notes, and assist in
Strong attention to detail and organisational skills.
Proactive with good analytical and problem-solving skills.
Role Location/Hybrid Schedule
This role is based in our Jersey office.
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