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Cambridgeshire - Cambridge
Creating and presenting management accounts and board packs to stakeholders Data entry and ledger management Overseeing the work of a bookkeeper Working closely with clients to understand their accounting and reporting requ ... See more
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East Sussex - Brighton
Bank reconciliations Payment and processing of transactions Banking processes and procedures Cash management See more
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Kent - Maidstone
Accounts receivable duties Credit control Accounts payable duties Processing bank entries and reconciliation of bank accounts on a weekly and monthly basis Working closely with colleagues based in Belgium and France with travel to the busi ... See more
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Oxfordshire - Henley-on-Thames
Processing payments, invoices, income, and receipts and entering data manually then filing hard copies. Paying vendor invoices and tracking bank account balances. Bought Ledger. Cash book. Double entry bookkeeping Bank reconciliations ... See more
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Berkshire - Wokingham
Preparing and reviewing management accounts for various entities Accounting for and preparing financial statements Liaising with the with wider finance team and assisting with audit Liaising with senior finance in preparing audit schedule ... See more
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Surrey - Richmond
Managing and leading the Credit Control, purchase ledger and banking functions Ensuring all contractor invoices are paid correctly and in a timely manner Proactively looking for ways to reduce tenant and landlord arrears &n ... See more
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London - City of London
Record cash, accruals and prepaid journal entries monthly ensuring the relevant supporting documentation is attached Record transactions and liaise with Technical accounting for correct ledger entries Record monthly payroll and liaise wi ... See more
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Hertfordshire - Berkhamsted
Processing of all purchase invoices Bank reconciliations Processing of all staff expenses Bi-monthly payment runs VAT reconciliations - monthly VAT return - quarterly Raise sales invoices Credit control Monthly accruals and prepaym ... See more
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Middlesex - Harrow
The duties that you will undertake will comprise of all aspects of purchase ledger and sales ledger. Other requisites of the role include reconciliation of accounts, administrative tasks and various other ad-hoc accounting duties assisting the l ... See more
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Buckinghamshire - High Wycombe
The role is about daily bank reconciliation and cashflow management, sales/purchase ledger input, weekly payroll, and some general office duties. See more
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London - South East England
Financial Reporting Includes preparation of Consolidated financial statements Consolidation of the Financial results for statutory reporting. Continuous review and documentation of group accounting policies and practices. Prepa ... See more
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London - South East England
To prepare electronic audit files for the client group and its subsidiary companies To own the online tracker portal prepared by the Auditors and to liaise with all internal staff to ensure all issues raised are resolved in a timely ... See more
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Berkshire - West End Green
The position has come about due to growth and new business, there will be a plethora of opportunities to move within the wider business as the organization have a very large Finance team based here in London. You will take responsibility for the ... See more
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London - South East England
Prepare monthly financial reports, presenting information for senior executives, the Board, lenders and investors. Maintain the general ledger, ensuring accurate and reliable information. Work closely with the Group Financial Controller and ot ... See more
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West Sussex - Chichester
Review process, controls and procedures Collate and analyses costing information for commercial tender processes Support the development of customer profit improvement programmers Update costing positions to reflect inflationary cost increas ... See more
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Essex - Chelmsford
You will work very closely with the Director of Finance to oversee accounting operations. You will manage a small finance team and work to implement and develop new accounting systems and processes to support the firm. You will have the abilit ... See more
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London - South East England
Assisting in the preparation of weekly and monthly management accounts Reconciling and maintaining the cash books Assisting the Management Accountants in the preparation of daily cash flow forecasts Balance sheet reconcilia ... See more
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West Sussex - South East England
Collaborate with various departments within the housing association to provide financial guidance and support. Provide financial analysis and forecasting to aid in decision-making in key business areas. Monitor and manage financial performance ... See more
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Hertfordshire - Stevenage
Delivery and development of Management and Financial reporting of UK and a recently acquired overseas subsidiary along with commentary and suggestive actions to assist decision making. Development of Key Performance Indicators Investor reporti ... See more
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Surrey - Camberley
Management of a team of four with responsibility for all aspects of treasury and property accounting Accounting for Support Office overheads including partnering with senior business leaders to analyses costs and drive decision making Preparat ... See more
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