Michelle Anderson

Accountants Technician at Jersey Office of the Information Commissioner
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Contact Information
us****@****om
(386) 825-5501
Location
Jersey, JE

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Experience

    • Jersey
    • Public Policy Offices
    • 1 - 100 Employee
    • Accountants Technician
      • Jan 2022 - Present
    • Jersey
    • Non-profit Organizations
    • 100 - 200 Employee
    • Assistant Finance Manager
      • Nov 2019 - Dec 2021

      Jersey

    • Accounts Supervisor (contract)
      • Sep 2019 - Nov 2019

      Jersey

    • Assistant Financial Controller
      • Sep 2018 - Jul 2019

      Jersey, United Kingdom Monthly account preparation and review of regulated companies for submission to the Financial Director Preparation of solvency calculations and ANLA for submission to the Financial Director. Notes to the accounts for submission to the Financial Director before distribution to the board Implementation and ongoing monitoring of Inter group reconciliation. Monthly reconciliation of control accounts. Bank reconciliations

    • Jersey
    • IT Services and IT Consulting
    • 100 - 200 Employee
    • Reporting Accountant
      • Dec 2013 - Aug 2018

      Jersey Production of monthly management accounts with control account reconciliation for submission to financial manager.

    • Assistant Accountant
      • Mar 2008 - Dec 2013

      Preparation of monthly management accounts for review and submission to financial manager. Responsibility for the Isle of Man accounts prep and review, liaising with the M.D. Quarterly Vat and GST returns. Reconciliation of contracted income and review of deferral calculation. Monthly Inter group reconciliation. Monthly reconciliation of accrual and prepayment ledgers. Maintaining fixed asset register and reconciliation. Review of all sales and purchase invoices, regarding… Show more Preparation of monthly management accounts for review and submission to financial manager. Responsibility for the Isle of Man accounts prep and review, liaising with the M.D. Quarterly Vat and GST returns. Reconciliation of contracted income and review of deferral calculation. Monthly Inter group reconciliation. Monthly reconciliation of accrual and prepayment ledgers. Maintaining fixed asset register and reconciliation. Review of all sales and purchase invoices, regarding coding and allocation to nominal ledgers. Treasurer of company social club.

Education

  • Highlands College Jersey
    Certified ACCA - Certified Accounting Technician
    2008 - 2011

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