Ken Fayers Email and Phone Number
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We help SME's manage their bookkeeping efficiently in a way that helps them maximise their business profitability.We achieve this for our clients by implementing and streamlining, systems, processes and procedures in order to maximise efficiency.Then we implement a carefully selected and designed management reporting suite that gives our clients the visibility and insights they need into their business in order to make the best strategic decisions.What we do:✓ Bookkeeping - provide you with accurate figures to enable you to run your business effectively✓ BAS / IAS / PAYG - ensure compliance with regulatory bodies✓ Payroll - effectively schedule, monitor, incentivise and remunerate your team✓ Cash flow - accurately forecast cash positions giving you 100% visibility of your cash flow at any one time✓ Budgeting - plan your businesses financials and have the ability to hold each area of the business accountable to your overall performance✓Stock Control / Inventory Control - optimise stock levels, accurately track inventory, minimise time taken to manage stock✓Accounting systems - we are experts on all the major systems including Xero, MYOB, Intuit Quickbooks and Reckon along with a plethora of industry specific and other systems.✓ Tax - EzyAccounts Western Melbourne is a registered Tax Agent able to prepare your business or personal tax return and advise on tax planning.CONTACT US FOR:★ A COMPLIMENTARY phone discussion on how you can improve your bookkeeping and accounting functions - 1300 313 397★ To organise a FREE 1 hour consultation at your premiseSpecialities: bookkeeping, payroll, cash flow, budgeting, stock control, BAS, MYOB, Xero, Intuit Quickbooks, Reckon
Ezyaccounts
View- Website:
- ezyaccounts.com
- Employees:
- 45
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Tax Agent And Accountant And Bookkeeping, Reporting And Business Advice To Micro Businesses And SmesEzyaccountsCoomera, Qld, Au -
Tax Agent/Accountant/Bookkeeping, Reporting & Business Advice To Micro Businesses & SmesEzyaccounts Jun 2013 - PresentGold Coast, Queensland, AustraliaWe work with businesses in most industries to develop and manage their bookkeeping functions, management reporting suite and financial analysis. Our services typically yield tremendous ROI for our clients through increase financial visibility.Typically we will take new clients through a three stage process when they first engage us:1. Clean up - this applies to a lot of new clients, but not all. It involves bringing a clients books up to date and making them accurate so that their accounts are compliant and a true representation of their business.2. Streamlining - this involves better utilisation of software systems, as well as reviewing and improving procedures. By the end of this stage the books and often the business can be administered a lot more efficiently and with the requirement of fewer resources.3. Analysis and Reporting - this involves understanding the opportunities and problems that are facing the client's business. Then designing and implementing financial reports that we then interpret for the client so that they have the information they need to make the best strategic decisions. It's this stage where we start to help you make very obvious differences to your business profitability! -
Financial Controller (Cfo)Goldenberg Hehmeyer Trading Co Ltd Mar 2008 - Jul 2012London, United KingdomHead of Finance at this company and at Goldenberg Hehmeyer LLP. Business sector: proprietary trading in financial futures and exchange traded funds (ETFs).Responsible for all financial matters, reporting direct to MD / Designated Partner. Tasks include ●Preparation of Annual Financial Statements ●Monthly Management Accounts●Daily Monitoring of booking of all trades (including manual corrections as required) ●Monthly; Quarterly and Annual reporting of GH LLP to FSA on Gabriel (their online reporting tool)●Personally Registered with the FSA as the Money Laundering Reporting Officer for GH LLP ●Calculation of Trader Bonuses ●Authorisation of all Bank Transfers ●Liasion with Auditors ●Liasion with Banks ●Reconciliation of outside source statements ●Ad hoc projects. including LLP’s registration with Financial Services Authority and setting up the Liquidity reporting. -
Interim/Project AccountantStericycle Oct 2007 - Feb 2008Gravesend, Kent UkA temporary role to assist in the transfer of the finance function of White Rose Environmental from Leeds to Gravesend and it’s merger with the Sterile Technologies Group to form SRCL. -
Interim/Project AccountantCleanaway May 2006 - Sep 2007Brentwood, Essex UkA temporary role (originally for 2 to 3 months but eventually ran for 17 months) which was instigated following the announcement that Cleanaway's UK operation was for sale and continued while the new owners (Veolia Environmental Services) first decided the future of the former head office and then while they closed down and transferred the central Finance function. My main areas of responsibility were:●to analyse and schedule the fixed assets for the pre-sale due diligence report●to compute on a discounted cash flow basis the value of the contracts that the new company has acquired●to analyse and clear differences on the payroll control accounts and recommend fixes required to the interface●to complete quarterly VAT (Goods & Services Tax) returns (Cleanaway paid £50 to £60million a year of VAT)●to co-ordinate the month end reconciliation files of all balance sheet accounts●to assist in project managing the transfer from Cleanaway’s JDEdwards system on to Veolia’s Sage line 500●to ensure all JDE postings for the transfer to Sage were correctly posted and balanced with the posting in Sage; ●to deputise for the payroll manager in her absence; and ●to train Veolia staff based in the Midlands how to take over the above tasks. -
Finance DirectorG8Wave Oct 2001 - Oct 2005London, United KingdomHead of Finance at this the UK division of the US based Phoenix Media/Communications Group. Business Sector: Premium rate phone lines and premium rate SMS.Responsible for all financial matters including:•Producing weekly projections of income & expenses for the current month (flash reports)•Producing monthly management accounts including balance sheet and comparisons with budget and final flash•Producing and maintaining cash flow, including identifying potential cash shortfalls•Preparation of draft statutory accounts for audit and Liaison with external auditors•Reconciliation of individual accounts on nominal ledger.•VAT returns and liaison with HMRC regarding them•Management of Payroll and Liaison with outsourced Payroll supplier•Weekly meetings with the other senior management (MD, Operations & HR, Sales & IT Directors)•Annual budget, including income statements, cash flow and balance sheets.•Preparing ad hoc analysis as required by the MD or Boston CFO •Implementation of Hansa World Financial package to replace Sage Line 100 Accounting system•Liaising between Companies House and the US based Company Secretary.•Credit Control and liaison with “Customers” (= phone companies) and reconciling their statements•Preparing self-billing invoices or statements for “Clients” (= newspapers & other advertisers). •Calculation of Sales Force Bonuses•Responsible for Supervision of plus recruiting, motivating and developing accounting staff -
Interim Group Financial ControllerHarada Ltd Sep 2001 - Oct 2001London, United KingdomFour week assignment to assist in consolidated accounts preparation at this group which primarily traded as "Chequepoint" Foreign Exchange Bureau. Offered extension but took permanent role at g8wave instead.
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Group Financial Controller (Cfo)Ggs Holdings Ltd Apr 2001 - Aug 2001London, United KingdomThree month assignment (extended to five months). Responsible for all financial matters (including financial accounts consolidation) Supervising 12 staff reporting directly to the Managing Director of this Construction and Building Refurbishment group.
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Supervisor, European Finance Dept.Aig Jul 1997 - Mar 2001Croydon, United KingdomResponsible for financial reporting of four European Branches (Italy from July 1997 plus Spain & Switzerland from July 1998 & France from January 2001) to New York headoffice; reconciliation of control accounts, authorisation of bank transfers and bank reconciliations. Total turnover of all four branches approx £200m. Business Sector: General Insurance. -
Assistant Overseas AccountantLloyd'S Register Feb 1995 - Jul 1997Lloyd's Register of Shipping refers to itself as a Ship Classification Society. They conduct Marine (and Industrial) Safety Surveys worldwide and are a Not for Profit organisation.Overview of role:: Preparing tax accounts and invoices for central establishment charges and other costs for Lloyd’s Register's overseas branches and subsidiaries in 70 countries worldwide (turnover £200m). My role included devising new methods of preparing the branch accounts and reconciling between the various old and new systems in a period in which computerisation increased from around 10% of overseas offices to about 70%. -
Finance ManagerGaspol 1991 - 1994Warsaw Area, PolandNo. 2 to the Finance Director of a company formed from the merger of seven individual Polish state companies and an injection of western capital (from the Netherlands based SHV Group) just three months before I joined them (initially on a 3 month contract). Turnover £30m, 900 employees. Business Sector: LPG bottling & distribution -
AssociateKpmg 1987 - 1991Trained as a Chartered Accountant with this "Big 4" firm. Clients ranged from the consolidation audit of a multinational plc down to incomplete records of sole traders. Other clients included family controlled companies, small charities and company pension schemes. Wide experience covered Accounts preparation, Corporate Tax, Personal Tax and VAT as well as Auditing as I was based in a general practice office which had Business Service clients as well as audit clients.
Ken Fayers Skills
Ken Fayers Education Details
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Accountancy -
Chartered Accountant -
The Tax InstituteGraduate Diploma In Applied Tax Law
Frequently Asked Questions about Ken Fayers
What company does Ken Fayers work for?
Ken Fayers works for Ezyaccounts
What is Ken Fayers's role at the current company?
Ken Fayers's current role is Tax Agent and Accountant and Bookkeeping, Reporting and Business Advice to Micro businesses and SMEs.
What is Ken Fayers's email address?
Ken Fayers's email address is ke****@****i.co.uk
What schools did Ken Fayers attend?
Ken Fayers attended University Of East Anglia, Institute Of Chartered Accountants In England And Wales, The Tax Institute.
What skills is Ken Fayers known for?
Ken Fayers has skills like Financial Reporting, Accounting, Finance, Financial Accounting, Cash Flow, Financial Analysis, Management Accounting, Tax, Auditing, Bookkeeping, Payroll, Due Diligence.
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