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Essex - Brentwood
Ensuring all month-end processes are completed to deadlines Reviewing financial results for UK operations and presenting these results to the Finance Business Partners Supporting the Finance Business Partners with annual budg ... See more
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South East England - Kent
Apply a good knowledge of financial controls and accounting to propose and implement process improvements. Ad-hoc tasks within the finance function when required. Work with the senior leadership team to produce and publish monthly reports. See more
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Hertfordshire - St. Albans
You will be giving advice and organizational reports to support Service Managers, Directors, and Members on all Capital related activities. You will be working in a team to ensure effective balance sheet and revenue and expenditure management ar ... See more
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Hertfordshire - Stevenage
Assist the Head of Finance in creating monthly / quarterly management accounts for all group companies. Responsibility for all inter group transactions, recharges and reconciliations. Maintaining import deposit records. Posting all purchase ... See more
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Kent - Bromley
Assist with the preparation of inputs into the strategic business plan, assist with the co-ordination of the year end audit process and implement process improvements to reporting processes. See more
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Hampshire - Waterlooville
Preparing year end accounts Preparing business and personal tax returns Reviewing bookkeeping and VAT prepared by juniors Train and assist some junior members of staff See more
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Hampshire - Farnborough
Month-end close activities: journal entries, producing management accounts etc. Balance sheet reconciliations. Cashflow forecasting, reviewing payment runs and authorizing payments. Providing information needed for the preparation of the ann ... See more
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West Sussex - East Grinstead
Manage a portfolio of clients Advise clients on best practice and process Aid with staff training and development Undertaking Accounts Preparation where necessary Train junior team members with all aspects of Accounting Visiting client p ... See more
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Cambridgeshire - Cambridge
Bookkeeping, including knowledge of double entry bookkeeping Bank Reconciliations Purchase Ledger Sales Ledger HMRC Submissions Preparing monthly management accounts, including variance analysis and commentary Supporting the preparatio ... See more
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London - South East England
You will be responsible for all accounting needs of the organization. You will be the main support for all financial concerns including providing financial advice, the Board of Trustees and the Senior Management Team. You will prepare, develop ... See more
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London - City of London
Allocating receipts and payments posted, investigating differences and liaising with brokers’ finance departments; Responsible for the balancing of cashbooks for bank accounts and preparing bank reconciliations; Producing and submitting ... See more
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Cambridgeshire - Huntingdon
Business partnering with key stakeholders and wider business Production of the monthly management accounts pack for business units and cost centers Delivering high quality accounts analysis, including variances and trends Report and ana ... See more
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Hampshire - Alton
Knowledge of excel Processing purchase ledger and sale ledger CIS returns Reconciling bank statements Liaising with HMRC as and when required Supplier payments Producing and submitting VAT returns Liaisi ... See more
via KBM Training and Recruitment
London - South East England
Credit check new customer accounts Ensuring correct and accurate Finance and VAT information on customer accounts; Ensure all shipped orders are billed daily; Creating and sending invoices to retailers; Working ... See more
via KBM Training and Recruitment
London - South East England
The successful candidate will be responsible for supporting the Senior Finance Manager and the London Accounts department of the firm. See more
via KBM Training and Recruitment
London - South East England
Producing monthly statements, ensure accruals and prepayments are accounted correctly and all balance sheet accounts are accurately Ensuring all statutory returns and payments are completed and submitted on time Supervising the monthly reporti ... See more
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Kent - South East England
Assist with the preparation of the monthly management accounts for consolidation Assist with revenue recognition Preparation of VAT and corporate tax returns including HMRC filing requirements Assist with the production of statutory accounts ... See more
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Surrey - Woking
Day to day transactional accounting activity across the business - taking the accounts to trial balance Bank reconciliations Balance Sheet Reconciliations Purchase and Sales Ledger management including arranging ... See more
via KBM Training and Recruitment
Essex - Wickham Bishops
Receiving and processing all supplier and subcontractor invoices. Dealing with supplier queries. Processing payment runs and uploading them for payment Reconciliations. Communicating with suppliers. Setting ... See more
via KBM Training and Recruitment
Hertfordshire - Watford
Assisting the payroll manager Reconciling supplier statements Company Credit Card reconciliation and bookkeeping Processing weekly payroll See more
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