•  Revenue validation and posting of all revenue journals into the accounting system..

  •  Cash control including preparation and posting of bank reconciliations, cash & credit card reconciliations.

  •  Prepare monthly P&L accounts (actual vs budget) for allocated hotels.

  •  Reconciliation of balance sheet accounts, ensuring variances and areas of risk are identified and actioned appropriately.

  •  To prepare monthly/quarterly VAT returns and assist with VAT inspections as required.

  •  Preparation of year end audit files and liaising with auditors.

  •  Preparation and return of National Statistics returns.

COMPANY TAX RETURN ONLINE

$1500/ From

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  • Financial Accounts
  • Income Tax Return
  • Corporate Secretarial Service
  • Meeting with a business advisor
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