Tasks and Responsibilities:
• Analysis of performance for all bookkeeping and accountancy clients on a monthly basis for;
-Profit and loss.
-Key ratios/core ratios
Leverage, liquidity and capital structure.
Coverage on interest.
-Cash flows-Deriving, cover ratios, strained/overtrading scenarios.
• Forecasting financials, identifying key drivers, deriving financial statements and analysis.
• Variance analysis for budgets, cash flow budgets, flash reports and graphics.
• Specific investment analysis in creating models, appraisals, management tests, sensitivity analysis, graphical illustrations.
• Other analysis as might be required by specific assignments i.e. risk analysis, company valuation, optimization proposals, forecasting models, breakeven,portifolio, variance analysis e.t.c
• For clients that have specific reporting requirements ensuring adherence to the standards and timelines.
• Work with the other accountants when necessary.
• Performing any other accountancy duties as may be required.
• Ensuring that daily, all the jobs and tasks are updated and completed on Jetpack and the timesheet is completed and shared with the Manager and Partner. (Mandatory)