Bookkeeper

Blusource Professional Services Ltd

An established firm of accountants based in Leicester are looking to hire a bookkeeper job vacancy, to work out of their office in Leicester due to expanding workloads and growth of the firm. The role is open to part-time and full-time candidates and the salary is dependent on experience. 

 

Key Responsibilities:

Bookkeeping

  • Manage weekly, monthly, quarterly, and annual bookkeeping tasks for our clients’ businesses to ensure accurate financial records.
  • Process invoices with meticulous attention to detail, ensuring accuracy and compliance.
  • Reconcile bank statements and resolve any discrepancies promptly on behalf of our clients.
  • Maintain harmony in accounts payable and receivable for our clients.
  • Prepare client accounts up to trial balance level and draft management accounts as required.

VAT Management

  • Be our VAT superhero, making sure we’re always on the right side of UK VAT regulations.
  • Prepare and submit VAT returns to HMRC with impeccable accuracy.
  • Keep a watchful eye on VAT transactions to catch any errors or discrepancies.
  • Handle VAT registration and deregistration with flair.
  • Secure VAT authorisation for our clients and provide them with top-notch advice.
  • Be the point of contact with HMRC for any VAT-related queries.

Software and Technology

  • Set up, migrate, and maintain our clients' accounting software like a tech wizard (think Xero, QuickBooks, Dext).
  • Train our clients on the latest software and processes.
  • Stay ahead of the tech curve and be our Digital Champion.
  • Keep the team in the loop with monthly updates on software changes and advancements.

Client and Team Communication

  • Handle all client queries related to bookkeeping and VAT with accuracy and efficiency.
  • Keep detailed notes of all client communications.
  • Flag significant issues or changes to the Client Manager promptly.
  • Regularly review client fees and keep everything on track.

Financial Reporting and Compliance

  • Prepare monthly, quarterly, and annual financial statements, including profit and loss accounts, balance sheets, and cash flow statements.
  • Assist with budgets and forecasts to keep our clients financially savvy.
  • Perform financial analyses to spot trends and provide valuable insights.
  • Implement and maintain internal controls to keep our clients compliant and secure.

 

Benefits:

  • Room to grow and develop your career within a supportive and dynamic environment.
  • Competitive salaries in-line with market rate.
  • Flexible working hours and a fun, supportive work environment.
  • Access to ongoing training and professional development opportunities.
  • Great work environment with unlimited tea, coffee, and snacks.
  • Health Assured Employee Wellbeing Scheme.
  • Company pension scheme.
  • Study support for professional qualifications.
  • Hybrid working - up to 2 days a week from home (after probation). 
  • Open to part-time and full-time applicants.
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