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Showing 61 - 80 out of 90

via Cedar

Manage the monthly financial management reporting and finance business partnering service Manage the bank reconciliations and banking Liaising and building relationships with stakeholders Preparing statutory accounts Budget monitoring mont ... See more

2 years ago

via Cedar

Manage the monthly financial management reporting and finance business partnering service Manage the bank reconciliations and banking Liaising and building relationships with stakeholders Preparing statutory accounts Budget monitoring mont ... See more

2 years ago

via Cedar

You will get to partner and investor relations teams, and with slick technology and automated processes there is real time to add value rather than churning out spreadsheets. The team are involved in all the financial sections of the half and ye ... See more

2 years ago

via Cedar

Preparation, review and analysis of monthly consolidated group management accounts Preparation, review and analysis of monthly management accounts Accounting for group consolidation Inter-company account reconciliation Trial balance, balan ... See more

2 years ago

via Cedar

Take responsibility for all financial regulatory reporting Provide advice to the regulated entities within the Group on all aspects of financial regulatory reporting Assess and contribute to ongoing design and strengthening of the internal reg ... See more

2 years ago

via Cedar

Keeping track of all lease agreements (both finance and operating leases). Keeping a track of lease costs expense account. Monthly Prepayments and Accruals Assist with preparation of the fleet pack. Monthly Journal postings, ensuring corre ... See more

2 years ago

via Cedar

Responsibility for the efficient, accurate and timely accounting of financial transactions, including the production of routine month-end reports Preparation of journals, including validating regular monthly journals as well as ad hoc manual jou ... See more

2 years ago

via Cedar

Assist with producing monthly management accounts Preparing and posting quarterly journals including depreciation, accruals, and prepayments. Support the successful delivery of the accounts payable function Balance sheet and bank reconciliat ... See more

2 years ago

via Cedar

Complete month end journals for digital revenue streams Manage expenses with commentary on variances Complete balance sheet reconciliations Prepare revenue accruals for Global affiliates See more

2 years ago

via Cedar

Processing supplier invoices, ensuring correct coding for accounting and cost reporting Assisting with preparation of payment runs Distributing remittance advices Supplier statement reconciliation Preparing transactions on the expense ... See more

2 years ago

via Cedar

Lead the preparation of digital revenue accruals and associated costs. Review estimates of monthly revenue. Manage digital provider deal financials including deal economics, minimum guarantees, earnings and recoupment. Control, approve ... See more

2 years ago

via Cedar

Assist in preparing the Group's monthly management and financial reporting. Perform relevant financial analysis / flash reports as part of internal reporting. Support the Group's annual budgeting and re-forecasting process. Assi ... See more

2 years ago

via Cedar

Processing the weekly and monthly payroll Ensuring all contractors have submitted their timesheets and suppling assistance where needed. Calculating bonus and commission payments. Manual adjustments to payroll. Reconcile month end HMRC ret ... See more

2 years ago

via Cedar

The Financial Accountant will ensure the business has sufficient cash to operate, controlling costs, collecting revenues and reporting accurate information to the key stakeholders internally and externally, including the Management Team, and ... See more

2 years ago

via Cedar

Assist with the preparation and completion of the Statutory Accounts, including liaison with company auditors and tax advisors Co-ordination of annual audits Prepare the commentary for the management reporting Support in the preparation for ... See more

2 years ago

via Cedar

Review, allocate and seek approval for invoices from suppliers and input into the general ledger (Xero), ensuring the correct VAT treatment Prepare the weekly payment run using Barclays.net Aid the Finance Assistant in preparing the backup doc ... See more

2 years ago

via Cedar

Preparation of monthly management accounts Ensure compliance with Group reporting standards and policies Balance sheet reconciliations and VAT returns Complete annual accounts for all entities within the Group Statutory audit preparation w ... See more

2 years ago

via Cedar

Assist with preparation of annual consolidated statutory financial statements for companies within the Group Assist with standalone statutory financial statements Support internal reporting processes through monthly / quarterly consolidated fi ... See more

2 years ago

via Cedar

Active role in budget monitoring ensuring value is added throughout the process. Communicating financial data in simple terms and present information to seniors Support the significant service transformation to ensure that the current overspen ... See more

2 years ago

via Cedar

Preparation of monthly management accounts for group functions and central services. Preparation of budgets for corporate and support services. Preparation of invoice discounting reconciliations and maintain the short-term cash flow forecast. ... See more

2 years ago

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