Kent - Dartford
Providing assistance to the tax department with Personal and Corporation work Preparation of VAT returns Preparation of accounts for Sole Traders, Partnerships and Limited Companies See more
Kent - Ashford
Bookkeeping duties for a range of clients using a variety of software Supporting clients with bookkeeping and software queries Liaising with clients to ensure all records can be completed and VAT Returns filed within deadline Prepare a ... See more
Kent - Dartford
Bookkeeping duties for a range of clients using a variety of software Supporting clients with bookkeeping and software queries Liaising with clients to ensure all records can be completed and VAT Returns filed within deadline Prepare a ... See more
Kent - Tonbridge
Bookkeeping duties for a range of clients using a variety of software Supporting clients with bookkeeping and software queries Liaising with clients to ensure all records can be completed and VAT Returns filed within deadline Prepare a ... See more
Kent - Maidstone
Bookkeeping duties for a range of clients using a variety of software Supporting clients with bookkeeping and software queries Liaising with clients to ensure all records can be completed and VAT Returns filed within deadline Prepare a ... See more
Kent - Maidstone
Providing assistance to the tax department with Personal Tax and Corporation Tax work Preparation of VAT returns Preparation of accounts for Sole Traders, Partnerships and Limited Companies See more
Kent - Tonbridge
Providing assistance to the tax department with Personal Tax and Corporation Tax work Preparation of VAT returns Preparation of accounts for Sole Traders, Partnerships and Limited Companies See more
Kent - Tonbridge
Scanning, coding and input of supplier invoices Monthly supplier statement reconciliations Producing “suggested” supplier payments for approval on a weekly/ monthly basis Reconciling “cash-ups” to bank and credit card ... See more
Kent - Westerham
Maintain SAGE accounts by posting purchase invoices, daily bank recs and managing supplier payment runs. Prepare Monthly management accounts with month end journals, balance sheet reconciliations and preparation of supporting schedules. Manage ... See more
Kent - Maidstone
Day to day functions of manage suppliers invoices, reconciliation of suppliers statement Manage suppliers payment and bank reconciliation Support the finance manager in working closely with external auditors and tax advisors Support stock ta ... See more
Kent - Gillingham
Preparing month end accounts for all costs associated with the project Provide analysis of spend and revenue Monitor position, including preparation of detailed cashflow, to help manage the hedging process to mitigate negative impa ... See more
Surrey - Croydon
Timely and accurate preparation, booking and reconciliation of all Payroll and Balance Sheet Success will require close business partnering with HR and Payroll Department. Preparation, analysis and calculation of ... See more
Kent - Canterbury
Produce monthly Management Account packs for all Services within the business. This incorporates the roll-over of previous month packs, analyzing and posting journals for all activity including accruals, prepayments, all income and expenditure. ... See more
Kent - Dartford
Bookkeeping duties for a range of clients using a variety of software Supporting clients with bookkeeping and software queries Liaising with clients to ensure all records can be completed and VAT Returns filed within deadline Prepare a ... See more
Kent - Tonbridge
Daily/ Weekly reconciliation of Bank transactions Scanning, coding and input of supplier invoices Monthly supplier statement reconciliations Producing “suggested” supplier payments for approval on a weekly/ monthly basis ... See more
Kent - Canterbury
Daily/ Weekly reconciliation of Bank transactions Scanning, coding and input of supplier invoices Monthly supplier statement reconciliations Producing “suggested” supplier payments for approval on a weekly/ monthly basis Reconc ... See more
East Sussex - Brighton
Assisting with ad hoc and invoicing Processing expenses Daily reconciliations Recording bank transactions and reconciliations Resolving any payment queries Recording performance against set targets Assisting with recording stock positi ... See more
Kent - South East England
Assist in the preparation of the quarterly VAT return. Monthly commissions analysis. Intercompany reconciliations. Balance sheet reconciliations including ensuring the Fixed asset registers are up to date in all entities. An ... See more
Kent - Tonbridge
Bookkeeping duties for a range of clients using a variety of software Supporting clients with bookkeeping and software queries Liaising with clients to ensure all records can be completed and VAT Returns filed within deadline Prepare a ... See more
East Sussex - Brighton
Accrual accounting and journal management. Ie management charges, depreciation, prepaid income, and prepayments Updating and maintenance of Fixed Asset Register Schedules – prepayments/prepaid income/accruals Assist in ... See more
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