via Armstrong Knight
Hertfordshire - Hitchin
Our client provides the best quality for customers. Due to company growth, they are now looking to hire an Experienced Bookkeeper. Duties will include: Sales and purchase ledgers Vat returns Bank reconciliations Processing payment ... See more
via Armstrong Knight
London - South Woodford
We are delighted to have partnered with a leading company who are seeking to recruit an ambitious Accounts Assistant to join their Finance team at the company's Finance Accounts operations . This is an extremely varied and inte ... See more
via Armstrong Knight
London - South Woodford
Postings and reconciliations for all development companies within the group. Daily bank reconciliations Loans and credit card reconciliations Monthly Cash call reporting for Joint venture partners Preparation of payment runs and ad hoc pay ... See more
via Armstrong Knight
Essex - Rayleigh
A busy independent lettings agency based in Canary Wharf managing a substantial portfolio of properties in and around central London are seeking a highly motivated Credit Controller. Job Description The successful candidate will be responsible ... See more
via Armstrong Knight
Essex - Rayleigh
A busy independent lettings agency based in Canary Wharf managing a substantial portfolio of properties in and around central London are seeking a highly motivated Credit Controller. Job Description The successful candidate will be responsible ... See more
via Armstrong Knight
Essex - Southend-on-Sea
Postings and reconciliations for all development Daily bank reconciliations Loans and credit card reconciliations Monthly Cash call reporting for Joint venture partners Preparation of payment runs and ad hoc payment requests Loan i ... See more
via Armstrong Knight
London - Walthamstow
Vat returns Purchase ledger/ sales ledger processing Bank Reconciliations Accruals and prepayments CIS returns Payroll. See more
via Armstrong Knight
Essex - Cranbrook
Postings and reconciliations for all development companies within the group. Daily bank reconciliations Loans and credit card reconciliations Monthly Cash call reporting for Joint venture partners Preparation of payment runs and ad hoc pay ... See more
via Armstrong Knight
Hertfordshire - Stanstead Abbotts
Assisting with the preparation of monthly management accounts Preparing balance sheets reconciliation Complete quarterly VAT returns, ensuring compliance and keeping up to date with any changes to VAT Raising sales invoices and debt collecti ... See more
via Armstrong Knight
Kent - South Ashford
To prepare corporation tax computations and completion of tax returns To understand the varying requirements and timescales for a range of clients in producing monthly management accounts. To proactively be on top of a portfolio of ... See more
via Armstrong Knight
Essex - Ilford
Postings and reconciliations for all development companies within the group. Daily bank reconciliations Loans and credit card reconciliations Monthly Cash call reporting for Joint venture partners Preparation of payment runs and ad hoc pay ... See more
via Armstrong Knight
Essex - Romford
To understand the varying requirements and timescales for a range of clients in producing monthly management accounts. To proactively be on top of a portfolio of clients and ensure all relevant accounting information is processed on a regu ... See more
via Armstrong Knight
Surrey - Hersham
An opportunity has arisen for an ambitious, experienced qualified accountant keen to continue to develop and manage their own portfolio of clients. Our client are looking for someone who will plan their own workload and develop their own client ... See more
via Armstrong Knight
Essex - Chelmsford
Setting up and ensuring correct information is on accounts system for all new projects and chasing up outstanding information from operational departments Assisting sales ledger staff in creation of customer accounts, ensuring all required infor ... See more
via Armstrong Knight
Essex - Rayleigh
Assisting Clients with queries and accounting information Developing Client relationships Keeping up to date with statutory deadlines Daily bank reconciliation, invoicing, purchase ledger Produce management accounts upon request Ad hoc a ... See more
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