Joining Henley & Partners
As the leading global citizenship and residency advisory firm for over two decades, Henley & Partners helps clients navigate the complex landscape of investment migration and citizenship planning.
Why Choose Henley & Partners?
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Global Impact:
Make a difference by helping individuals and families access new opportunities and secure a brighter future through alternative citizenship and residency options
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Cutting-Edge Expertise:
Join industry pioneers providing innovative solutions and exceptional service through an extensive international network
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Dynamic Culture:
Work in a multicultural and inclusive environment with over 40 offices worldwide, fostering collaboration and personal growth
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Continuous Learning:
Benefit from ongoing professional development, training programs, and industry conferences to enhance your skills
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Impactful Projects:
Engage in high-profile projects that shape the future of investment migration and global mobility
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Work-Life Balance:
Enjoy flexible working arrangements and benefits that support your well-being
...but that's enough about us, let's talk about you!
Working as part of a small Finance team, your position will encompass all financial duties including handling and/or supervising banking, invoicing & debt collection, bookkeeping, VAT compliance, preparation & timely submission of accurate management accounts and financial statements in accordance with IFRS, annual audit, tax returns, budgets and cash flow forecast.
Responsibilities:
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Maintain financial records by analyzing balance sheets and general ledger accounts
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Reconcile general bank accounts by gathering and balancing information
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Provide financial status information by preparing special reports, completing special projects
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Correct errors by posting adjusting journal entries
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Maintain general ledger accounts by reconciling accounts receivable detail and control accounts; adjusting entries for amortizations, analyzing and reconciling retainage and accounts payable ledgers, preparing fixed asset depreciation and accruals
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Maintain accounting controls by following policies and procedures, complying with financial legal requirements
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Produce profit & loss balance sheets
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Handle month end and year end close process
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Maintain customer and supplier age analysis
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Prepare the year-end audit file
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Prepare budgets and financial forecasts
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Process all purchase invoices
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Process payments and receipts
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Prepare monthly management account packs
Qualifications and requirements:
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University degree in Accountancy/ACCA Qualified. Masters or an advanced degree will be considered as an advantage.
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Minimum of 5 years of finance and accounting experience
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Experience within an Audit Firm/Corporate Service provider
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Direct experience in completing Financial Statements and VAT returns
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Good IT skills and experience of working with financial software packages
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Excellent written and verbal communication skills especially, command of the English Language
Conditions of employment:
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Competitive base salary
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Full-time employment with probation period of 6 months
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Working hours from Monday to Friday, 8 hours per day
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25 days of annual leave
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Health Insurance
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Employment visa
Join our team and be part of an organization that values innovation, fosters collaboration, and believes in the potential of its employees. We offer competitive compensation, comprehensive benefits, and a dynamic work environment that encourages growth and personal development.
If you are seeking a challenging yet rewarding opportunity where your ideas can make a real impact, we invite you to apply today.