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Berkshire - Thatcham
Responsibility for the accounting department, alongside preparation of management accounts, as well as invoice production, aged receivable and chasing debtors, Vat returns, payroll and expense reconciliation Analysis of figures Assistance with ... See more
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Middlesex - Heathrow
Balance sheet is reconciled every month and is a fair reflection of the assets and liabilities Prepare Management Accounts Provide month-end packs and business forecasting to assist with management decision making &nbs ... See more
via Orka Financial
You will be responsible for the FP&A duties of financial planning, budgeting and forecasting as well as financial modelling for potential investment opportunities and commercial / sales analysis. The FP&A team is responsible for analyzing sal ... See more
via Orka Financial
Berkshire - Bracknell
Production and review of the monthly management accounts Ensure monthly reconciliation of all balance sheet accounts including; reconciliations, prepayments, accruals and payroll To produce the monthly, bi-monthly and quarter ... See more
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Buckinghamshire
The Financial controller will be responsible for the preparation of financial reporting and implementation of internal controls within the UK business. They will have strong relationships with all the key stakeholders, and ensure that timely and accu ... See more
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Berkshire - Langley
Preparation of all monthly, corporate and adhoc reporting ensuring that all local and Corporate financial reporting deadlines are achieved. Administering the UK-wide Treasury cash pool Prepare and reconcile all Inter-company Financ ... See more
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Berkshire - Reading
Preparation of accounting entries for European entities, intercompany, treasury and consolidation purposes Preparation of statutory accounts for the consolidated group as well as subsidiary entities compliant Preparation and review of VA ... See more
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Berkshire - Ascot
Checking and entering purchase order’s and Invoices Entering bank statement transactions Import duty accounting Employee expense claims and credit cards Processing payments to all suppliers Account reconciliations Flexibilit ... See more
via Orka Financial
Buckinghamshire
We are looking to hire an experienced Accounts Payable Manager to join their successful finance team. The role will be training and developing a small accounts payable function. The role would suit an individual who enjoys change and thrives within a ... See more
via Orka Financial
Berkshire - Slough
Checking and entering purchase order’s and Invoices Entering bank statement transactions Import duty accounting Employee expense claims and credit cards Processing payments to all suppliers Account reconciliations Flexibilit ... See more
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Hertfordshire - Hemel Hempstead
Detailed analysis/ understanding of sales and margin Journal preparation and processing (working to tight deadlines) Monthly balance sheet account reconciliation Liaison with the projects team to understand and report on proje ... See more
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Buckinghamshire - Beaconsfield
Assist month end management accounts Month end reconciliations, payroll schedules and ledger maintenance Monthly bank reconciliations for allocated entities Raising purchase orders Raising sales invoices Assist with Daily Cash Flow manag ... See more
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Surrey - Camberley
Responsibility for Group reporting Consolidation of monthly results under UK GAAP and IFRS Responsibility for the yearend audit and statutory accounts Assist with the Corporation Tax return preparation Month end procedures Intercompany l ... See more
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Berkshire - Easthampstead
Unallocated cash reconciliation Twice daily funding payment runs Bank reconciliations Supporting other key reconciliations as required Weekly payment runs New supplier/vendor/broker checks Journals processing. See more
via Orka Financial
Berkshire - Reading
Supporting consolidation process, statutory accounting and other group reporting Providing key data for corporation tax reporting Full involvement in the external audit process, including participating in discussions with aud ... See more
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Hampshire - Tadley
Assist the Deputy Financial Controller with the preparation of key weekly management reports Manage month end Production of monthly information to assist the Deputy Financial Controller in the production of the management accounts and board pa ... See more
via Orka Financial
Buckinghamshire - High Wycombe
Support the UK month end close tasks including creating of journal entries, accruals, prepayments and balance sheet reconciliations Manage departmental cost center analysis, query resolution and monthly forecast updates Respo ... See more
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Berkshire - Slough
Accounting for aspects of revenue recognition and cost recognition, at each month end, ensuring the income statement and balance sheet are correctly reported Prepare monthly balance sheet reconciliations, ensuring that all balance sheet ac ... See more
via Orka Financial
Buckinghamshire - High Wycombe
Manage all bank reconciliations Monthly payroll and benefits processes Manage the fixed assets Monthly reporting Prepare and post journal entries at month end in line with reporting deadlines and reconcile associated balance sheet acc ... See more
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