A career in our Tax Compliance Services practice, within Tax services, will provide you with the opportunity to help our clients meet and manage their tax obligations across unique but ever changing tax specialties. You'll advise clients on their local and overseas tax affairs, while acting as a strategic consultant related to business analysis, managing indirect taxes, dispute resolution, and global enterprise tax solutions. Our team helps our clients with compliance across all taxes, statutory accounting and complex tax reporting. You'll focus on bookkeeping and monthly reporting, drafting, auditing and filing of local statutory financial statements, and transaction processing.
Our Tax Compliance team is a leading provider of technology enabled compliance and integrated advisory services, working across an unrivalled range of prestigious clients. The variety of work, size of our team and focus on learning and development brings about opportunities to specialise in particular industries or technical areas.
Our team is agile and open to new ways of working. The investment in automation and robotics enables us to be at the forefront of change and innovation. Together, we produce technical excellence, innovative solutions and an outstanding client experience.
Our specialist private equity fund compliance team is responsible for the delivery of tax reporting for some of the largest and most complex funds in the UK. This diverse and interesting client base provides an excellent platform for prospective candidates to develop their skills and focus on a compliance role in a team that has grown significantly over the last few years.
The role
This role would particularly suit candidates who are looking to specialise in a supportive environment for a business that is truly focused on fund compliance.
As an experienced senior associate in the team the role would encompass the following:
Preparation of our most complex fund computations;
Review of straightforward fund computations;
Responsibility for the management of a portfolio of fund clients;
Working with the management team to ensure efficient delivery of fund computations to the client relationship managers;
Training, mentoring and supporting junior members of the team;
Identifying efficiencies within the compliance process and working with management to ensure smooth implementation
Close monitoring of finances within an allocated review portfolio.
Essential skills and experience
Ideally, experience at preparer level of private equity fund compliance in one or more of the following areas:
Partnership computations and returns;
Investor Reporting;
Experience with general partner corporate tax returns.
Candidates with experience in partnerships more generally, e.g. trading partnerships, real estate partnerships will also be considered.
ATT, CTA. AAT or ACA qualified;
Excellent interpersonal skills both oral and written; and
Demonstrated ability to develop, train and motivate junior staff