Berkshire - Reading
Matching cash postings and handling all queries Assisting with banking of any cheques Assisting the Accountant with reconciling bank statements Providing assistance with payment runs and filing of invoices Assisting ... See more
Hertfordshire - Watford
Updating financial records and ensuring all transactions are processed correctly in a timely manner New acquisitions statutory accounts (small companies) assistance and support with preparation and filing as required Post journals to reallocat ... See more
Berkshire - Reading
Primarily responsible for managing the external audit process and statutory accounts preparation Producing monthly consolidations Managing monthly close schedule Preparing and compiling monthly group and entity management accounts/financial ... See more
Berkshire - Maidenhead
Liaise with Project Managers and other relevant stakeholders regarding project cash flow and profitability margins. Ensuring that every project maintains a cash positive position at all times and taking proactive steps to ensure this. Pro-acti ... See more
Buckinghamshire - Marlow
Monthly Preparation of Revenue, Cost of Sales and Project for review by Senior Project Accountant. Create, update and reconcile projects against budget in Maconomy; providing all relevant documentation Liaise with Project Managers and other re ... See more
Oxfordshire - Abingdon
Ensure that relevant balance sheet reconciliations are carried out regularly and accurately Ensure that the financial information flowing into Power BI for center and divisional management is accurate and meaningful Work with center and divisi ... See more
Oxfordshire - Abingdon
Ensure that relevant balance sheet reconciliations are carried out regularly and accurately Ensure that the financial information flowing into Power BI for center and divisional management is accurate and meaningful Work with center and divisi ... See more
Oxfordshire - Abingdon
Ensure that relevant balance sheet reconciliations are carried out regularly and accurately Ensure that the financial information flowing center and divisional management is accurate and meaningful Work with center and divisional ma ... See more
Berkshire - Reading
Ensure Inter-company balances are agreed and reconciled Ensure that Inter-company payments are made via the accounting system monthly Compilation of VAT data and checking the integrity of the data Preparation and posting of journa ... See more
London - South East England
Leading the accounting team including year end audit Developing, mentoring and supporting the accounting team, adding heads when necessary Creating and enhancing accounting policies and procedures Business partnering with other department he ... See more
London - South East England
Data collection and consolidation of the monthly and quarterly group reporting including the intercompany eliminations and other group adjustments Managing the intercompany reconciliation process, reconciling balances on a monthly basis, investi ... See more
Hampshire - Aldershot
Working closely with the Finance Director in a varied, exciting finance role Processing all supplier invoices, accurately and within the set timescales Supplier statement reconciliations Processing sales invoices Ma ... See more
London - South East England
Preparation of group consolidation (Excel / Workday Financial) Preparation of group and statutory accounts Holding company accounting Intercompany reconciliation and settlement See more
Oxfordshire - Abingdon
Supporting the Senior Management Accounting team on a daily basis with a wide range of accounting tasks Assisting with the preparation of the month-end reporting Updating the Fixed Asset register and posting depreciation Assisting with month ... See more
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