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South England - Oxford
You will join the Department’s Finance Team, working alongside and reporting to the Finance Manager and working closely with the Head of Finance and Administration. This role will share the management of the Department’s Finance Team with ... See more
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Essex - Chelmsford
Support Senior management in relation to the delivery of business projects and initiatives, including the resolution of sophisticated or problematic issues Lead work to investigate, develop and implement operational improvements in the areas of ... See more
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Surrey - Croydon
Processing payments Manual bank transfers Posting of Direct Payments and transfers Answering telephone queries Responding to written correspondence and emails Dealing with email queries and finance queries in-box Raising demands/R ... See more
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London - City of London
Accurate and timely processing of all supplier invoices and employee expense claims, across all countries Preparation of payment runs as directed Reconciliation of supplier statements Timely response to internal and external email queries ... See more
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Surrey - Guildford
Owning purchase ledger duties Owning sales ledger duties Reconciling multiple bank accounts on Xero Revenue analysis Payroll preparation Pension filing Help in preparation of month end reporting &n ... See more
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Essex - Rayleigh
Purchase Ledger Checking invoices Reconciliation See more
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Hertfordshire - Ware
Assisting with credit control Ensuring that all customer queries are dealt with. Maintaining all customer standing data Ensuring that customer invoices are raised for their monthly recurring services Processing all ... See more
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Berkshire - Slough
Purchase ledger Purchase Queries Banking Purchase Payments Stationery stock control and ordering Catering suppliers invoice reconciliation Handling petty cash Expense administration Direct debits and s ... See more
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Herefordshire - Radlett
Maintaining data integrity of rebate management system; ensuring all rebates and other supplier contributions agreements are loaded; rebate data is entered monthly and payments from suppliers (BACS, credit / debit note or cheque) are cor ... See more
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London - South East England
Production of monthly management accounts, including analysis and commentary Develop and monitor budgets and forecasts Development of key performance indicators Become involved in the company’s management and strategic planning ... See more
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London - South East England
Always acts with a high degree of integrity with the ability to handle confidential and sometimes highly sensitive matters in the appropriate manner Able to build strong relationships across the business within patient, thoughtfu ... See more
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London - City of London
A reasonable level of management experience is therefore required. The role also involves overseeing cash and banking responsibilities as well as general balance sheet reconciliation activities. See more
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London - Moorgate
Full management and control of the month-end process and reporting Preparing and analyzing cost by each department with budget holders Balance sheet reconciliations completed and actioned. Year-end preparation and audit support Monthly rev ... See more
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Buckinghamshire - Marlow
Enter and posting purchase ledger invoices Posting of sales invoices in Sage Ensuring that unallocated items are investigated Reconciling supplier statements Completing a weekly payment run Carrying out CIS returns and reconciling bank s ... See more
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London - South East England
Work with overseas office to ensure accurately and timely information is distributed to head office in relation to salary and headcount. Work with HR to ensure the global staff list is accurate and distributed correctly to the local offices. R ... See more
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East Sussex - Brighton
Accrual accounting and journal management. Ie management charges, depreciation, prepaid income, and prepayments Updating and maintenance of Fixed Asset Register Schedules – prepayments/prepaid income/accruals Assist in ... See more
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Buckinghamshire - Milton Keynes
Prepare and posting journals (accruals and prepayments) Balance sheet reconciliations Investigating variances in budgets and forecasts Month end close Assist in Budgeting and Forecasting Ad Hoc duties as and when required See more
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Surrey - Redhill
You will be a key and valued member of this finance team with the responsibilities of month end duties, reconciliations and reporting, Balance sheets, accruals and prepayment's, assisting with the preparation of management accounts and b ... See more
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Hertfordshire - Watford
With financial operations, including reporting, provisions, invoicing, accounts payable and receivable, cashflow control, stock control and fixed asset register Assist with the preparation of the monthly management accounts ensuring timelin ... See more
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East Sussex - Brighton
Processing UK Company payroll on a monthly basis. Liaising with Overseas payroll providers. Making sure all new starters and leavers are treated correctly Making sure any payroll adjustments are properly recorded. Record keeping and online ... See more
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