We believe that great people and great jobs create amazing outcomes! At Absolute, we make vital connections, creating inclusive workforces that drive progress. We do this by utilising our expertise to uncover talent and build high-performance teams. Absolute Recruit is made up of three specialist divisions: Accounting & Finance, IT & Tech and HR. Our specialist teams operate across all levels from graduate through to senior & executive appointments. The teams cover Permanent, Interim & Contract solutions across London, Hertfordshire, Bedfordshire & Essex The Absolute Way is simple. Consistency of service and our ethos of building long-term relationships, are at the core of everything we do. Absolute was founded with the vision of creating an approachable, high-performing agency, built on a foundation of strong candidate and client partnerships. The strength of our relationships encourage openness and honesty, which is key when looking to move roles. We provide our team with the tools and freedom to do this, and to create an environment where they feel fulfilled, supported and happy! Our focus is to provide quality over quantity, and our aim is to never stop learning!
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London - South East England
Deliver financial reports for a portfolio of clients Liaise and assist with external auditors to support with queries Owning processes such as, reconciliations, balance sheets and standard processes for month-end as well as reviewing the ... See more
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London - South East England
Supervising the Account Assistants to deliver business goals against timelines, whilst developing the team's ability. Budget creation and analysis between budget and actual/estimated amounts on a monthly basis. Verifying ... See more
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London - Chelsea
Processing invoices for the purchase and sales ledgers Performing daily bank reconciliations Performing supplier reconciliations Working to tight deadlines for month end duties Updating the spreadsheets/databases, for exampl ... See more
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London - South East England
Prepare monthly reports of differing types Present detailed information to internal and external stakeholders Look at profitably and assist with decision making Create monthly profile appraisals for different products Work clos ... See more
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London - City of London
Deliver financial reports for a portfolio of clients. Liaise and assist with external auditors to support with queries. Owning processes such as, reconciliations, balance sheets and standard processes for month-end as well as reviewing the wor ... See more
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London - City of London
Processing supplier invoices Preparing payment runs Managing and reconciling the company credit cards Inputting and approving company expenses Reconciliation of company bank accounts Balance sheet reconcilia ... See more
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Hertfordshire - Hatfield
Completing payment runs Reconciling the purchase ledger against supplier statements Processing invoices from head office and individual sites Resolving any queries Management account duties- Accruals, prepayments, b ... See more
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London - Camden
Production of consolidated management accounts. Reconciliation of sales. Payroll reporting and payroll management. Fixed asset and Intercompany reconciliations. Stock analysis and customer reporting. Control of the busi ... See more
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London - Watford
Preparation on statutory accounts for multiple entities and assist with the group consolidation Liaise with auditors and assist with the annual audit process Managing the general ledger and intercompany transactions Balance ... See more
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Bedfordshire - Luton
Bank reconciliations and entering bank transactions daily Assist with month end - accruals, fixed assets, and overhead reconciliations Assisting with the year end audit Liaising with internal and external stakeholders Review in ... See more
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London - City of London
Monthly management accounts of multiple entities: including variance analysis and commentary for group entities. Consolidation of monthly financial reporting packs to group Building and maintenance of cashflow forecasting & ... See more
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London - Southwark
Producing the monthly management accounts Signing off the profit and loss Overseeing two junior reports Attending meetings with management teams to discuss the accounts Reconciliations for all bank accounts Consol ... See more
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London - South East England
Take responsibility of the accounts payable function Processing invoices, ensuring prices are correct Communicating with suppliers, vendors and contractors to resolve any payments issues Supplier statement reconciliation ... See more
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Bedfordshire - Luton
Daily cash posting for multiple entities Assisting with resolving queries and monitoring the Accounts Payable inbox Some month end duties completing accruals and prepayments Analyzing the balance sheet account See more
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Bedfordshire - Luton
Reconciling supplier statements and answering queries Posting and allocating supplier invoices Raising sales invoices and distributing to customers Reconciliation of bank accounts and matching to accounting software See more
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Bedfordshire - Luton
Reconciling supplier statements and answering queries Posting and allocating supplier invoices Raising sales invoices and distributing to customers Reconciliation of bank accounts and matching to accounting software See more
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Hertfordshire - Watford
Preparation on statutory accounts for multiple entities and assist with the group consolidation Liaise with auditors and assist with the annual audit process Managing the general ledger and intercompany transactions B ... See more
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London - Camden
Production of consolidated accounts. Reconciliation of sales. Payroll reporting and payroll management. Fixed asset and Intercompany reconciliations. Stock analysis and customer reporting. Control of t ... See more
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London - City of London
Producing the monthly accounts VAT review and submission Balance sheet reconciliations Supporting the wider finance team Assisting with year-end accounts preparations work ahead of audit Assisting with devel ... See more
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London - South East England
Helping to deliver statutory information. Providing full management accounts in a timely manner. Preparing VAT and payroll. Take responsibility for part of the balance sheet, ensuring transactions have been recorded correct ... See more
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