Handle full-cycle accounting for UK clients, including AP, AR, GL, and payroll coordination
Prepare and review monthly, quarterly, and annual financial statements as per UK GAAP
Ensure compliance with HMRC requirements, including VAT, PAYE, and corporation tax filings
Manage year-end closing, accruals, and journal entries
Reconcile bank statements, control accounts, and intercompany balances
Support UK statutory audits and liaise with auditors and tax consultants
Maintain fixed asset registers and depreciation schedules
Perform variance analysis, budgeting, and cash flow forecasting
Prepare management reports and provide insights into financial performance
Keep updated documentation for all financial processes and controls
Use accounting software/tools like TAlly, SAp etc
Collaborate with cross-functional teams across different time zones