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Ruby Group
About Us

Our management team have over 30 years experience placing finance professionals into central London and Home Counties. We have a vast network of High calibre Accounting and Finance candidates. We work with SME's, AIM, NYSE and FTSE businesses across all industry sectors, We place Part Qualified and Qualified finance professionals with a professional qualification in either ACCA, CIMA, ACA /on a permanent, temporary, interim and contract basis. Our Consultants will work tirelessly to find you the right job or Employee. We have the industry knowledge to give honest and consultative advice. Service is a key part of our recruitment process.


Job Listing

Showing 1 - 13 out of 13

via Ruby Group

Your responsibilities will be to manage day-to-day accounting, bookkeeping, cash management and general finance Including all purchase ledger transactions. issuing invoices to clients, maintaining daybooks and cash flow position Ensuring contr ... See more

2 years ago

via Ruby Group

Your responsibilities will be to manage day-to-day accounting, Bookkeeping, Cash management  General finance  Including all purchase ledger transactions  Issuing invoices to clients, Maintaining daybooks  Cash flo ... See more

2 years ago

via Ruby Group

 Prepare the monthly management accounts  Credit control by telephone, letter, and email, ensuring debtors days managed and a positive cash flow position maintained Prepare weekly payment run Maintain and reconcile bank accounts an ... See more

2 years ago

via Ruby Group

Completion of the bank reconciliations within the set deadlines Posting of transactions and investigation of any payments made without remittances. Ensuring that cheques received at Central Office are posted accordingly. Recording of payment ... See more

2 years ago

via Ruby Group

Your responsibilities will be to manage day-to-day accounting, bookkeeping, cash management and general finance. Including all purchase ledger transactions. issuing invoices to clients, maintaining daybooks and cash flow position. Ensuring con ... See more

2 years ago

via Ruby Group

Monthly bank reconciliations Invoice clients fees monthly to relevant social services or individuals and account for it Prepare monthly staff hours for pay beuro (bookwise) to prepare wages and account Provide accounts information to appoint ... See more

2 years ago

via Ruby Group

Responsible payments/transactions  Review of monthly management accounts  Input into forecasting and budgeting  Manage invoicing and cash requirements  Prepare data-driven analysis to advise on business decisions &nbs ... See more

2 years ago

via Ruby Group

Preparation of monthly management accounts, journal postings, accruals, prepayments, and monthly reports Submission of monthly statements to the corporate platform Responsible for uploading financial information, ensuring consistency across al ... See more

2 years ago

via Ruby Group

Process and reconcile daily all bank statements. Process purchase invoices and credit notes Prepare Supplier Payment Files Reconcile supplier statements to supplier accounts and deal with supplier queries. Produce and issue ... See more

2 years ago

via Ruby Group

Cash allocations Dealing with any customer/client queries Sending of weekly Statement to customers where required General credit control tasks Reconciliation of the Debtors Account Bank reconciliations Daily billing of invoices in an a ... See more

2 years ago

via Ruby Group

Produce timely and accurate financial information (daily, weekly, periodically, quarterly, annually) that enables users to make informed business decisions. Develop a strong working relationship with the Financial Accountant, Senior Management A ... See more

2 years ago

via Ruby Group

Your responsibilities will be to maintain and reconcile the accounts payable ledger, Processing Payments. Processing company expenses, taking card payments from clients. Setting up direct debits. Dealing with and resolving supplier queries. ... See more

1 year ago

via Ruby Group

Your responsibilities will be to supervise an accounts assistant, reviewing, and reconciling work. Assist with the production of monthly management accounts including balance sheet reconciliation, accruals, and prepayments. Maintain and reconc ... See more

1 year ago

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