South East England - London
Duties: Responsible for Payroll clients and internal Payroll matters Processing monthly Payroll runs Processing SMP, SSP, SSPP45s, new starters and leavers Overseeing matters related to HR Managing, supporting and developing 3 junior ac ... See more
South East England - London
Duties: Responsible for Payroll clients and internal Payroll matters Processing monthly Payroll runs Processing SMP, SSP, SSPP45s, new starters and leavers Overseeing matters related to HR Managing, supporting and developing 3 junior ac ... See more
East Sussex - Brighton
Prepping VAT returns Year-end financial accounts prep, including (but not limited to) limited companies, partnerships and sole trader Advise and support clients with cloud accounting software Organizing invoices, expenses, and expense forms ... See more
Berkshire - Burnham
Preparation of Corporation Tax computations Be the first point of contact for allocated clients, responding to various client enquiries in an accurate and timely manner Develop an ongoing, effective relationship with clients and ensure retenti ... See more
London - Acton
Processing purchase and sales invoices accurately Assist with annual audit process Maintain accounting ledgers by verifying and posting account transactions Daily bank reconciliation Preparing weekly pay run for supplier invoices Reconci ... See more
Hertfordshire - Hatfield
Collaborate with your team to meet all the financial operational deadlines of the company (payments, invoicing, banking reconciliation etc.) Good collaboration with suppliers Chasing resolution of invoice queries and dealing with suppliers' ... See more
Hertfordshire - Hemel Hempstead Industrial Estate
Processing payments, invoices, income and receipts and entering data into accounting software or databases then filing hard copies Preparing financial statements showing income and expenditure Paying vendor invoices and tracking bank account b ... See more
Hertfordshire - Hemel Hempstead Industrial Estate
Processing payments, invoices, income and receipts and entering data into accounting software or databases then filing hard copies Preparing financial statements showing income and expenditure Paying vendor invoices and tracking bank account b ... See more
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