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via KBM Training and Recruitment

Adding suppliers to the supplier database and verifying their details in order to prevent any fraudulent activity relating to payments Processing 200+ supplier invoices per month, including matching to purchase orders and ensuring all invoices a ... See more

1 year ago

via KBM Training and Recruitment

Assisting with the regular invoicing cycle for the business covering the production and issue of all invoices to clients across a range of activities, from print and digital advertising to conferences, exhibitions, webinars, and podcasts. Workin ... See more

1 year ago

via KBM Training and Recruitment

Carrying out Sales Ledger duties, including creating and distributing sales invoices and recording of all payments made Customer invoicing, credits, and statements Purchase Ledger, dealing with queries from customers and colleagues Credit Co ... See more

1 year ago

via KBM Training and Recruitment

Handling incoming telephone calls, enquiries, and providing prompt assistance to resolve any client queries Allocating funds and processing rental payments to landlords Maintaining regular contact with tenants and landlords regarding outstandi ... See more

1 year ago

via KBM Training and Recruitment

A qualified and experienced Financial Controller, who has previously managed a finance team Proficient in double entry, cashflow, forecasting, and budgeting Confident assessing and reporting on cash flow; including managing and reporting on de ... See more

1 year ago

via KBM Training and Recruitment

Post purchase invoices into Xero  Expense claim and credit card reconciliations  Prepare payment runs and set up payments for approval  Prepare bank reconciliations  Post general ledger journals including depreciation, ... See more

1 year ago

via KBM Training and Recruitment

Accounts payable and Accounts receivable.  Activities of Receivables monitoring (Customers Overdue monitoring).  Prepare asset, liability, and capital account entries by compiling and analyzing financial information.  Document ... See more

1 year ago

via KBM Training and Recruitment

Posting bank journals and bank reconciliations Processing employee and expense claims Posting of  purchase invoice and credits Preparing and posting purchase ledger accruals Prepare and posting month-end journals Prepare month- ... See more

1 year ago

via KBM Training and Recruitment

 Your day to day duties will include monitoring the inbox, processing and coding supplier invoices, dealing with supplier and expense queries, bank reconciliation (multi entity), supplier statement reconciliation, preparing twice monthly paym ... See more

1 year ago

via KBM Training and Recruitment

Sharing accurate weekly and monthly performance Chasing overdue payments Reconciling and categorizing our cash incomes and expenses on Xero, our accounting software Inspecting and cross-checking our suppliers' and customers' bills wi ... See more

1 year ago

via KBM Training and Recruitment

Preparing sales reports Bank Reconciliations Accruals and Prepayments Cashbook work Assisting with management accounts preparation Overseeing some Purchase Ledger processing (though their Purchase Ledger is quite straight forward) See more

1 year ago

via KBM Training and Recruitment

You will provide a range of bookkeeping services including VAT Returns, CIS Returns and Payroll to various sized businesses  Bookkeeping for various clients, working with the following programs: Iris, sage and xero Vat returns, CIS prepar ... See more

1 year ago

via KBM Training and Recruitment

Daily processing of invoices Ensuring all invoices are raised accurately Allocating of cash receipts Issuing of statements Investigating and resolving invoice queries Payment runs Chasing overdue debts Creating and managing new suppl ... See more

1 year ago

via KBM Training and Recruitment

Ensure all cash transactions are posted to the ledgers daily Liaise with bank on unknown transactions  Bank posting and reconciliations  Month end journals and reconciliations Prepayments Accruals  Balance sheet reconcil ... See more

1 year ago

via KBM Training and Recruitment

Ensure all cash transactions are posted to the ledgers daily Liaise with bank on unknown transactions  Bank posting and reconciliations  Month end journals and reconciliations Prepayments Accruals  Balance sheet reconcil ... See more

1 year ago

via KBM Training and Recruitment

Analysis of revenue from events Event reporting Month-end procedures including balance sheet reconciliations Management of the procure-to-pay process VAT record keeping Assistance with the annual audit process See more

1 year ago

via KBM Training and Recruitment

Liaising with the external audit team to ensure everything is accurate. Analyzing and controlling the financial systems, ledgers thoroughly. Preparing regulatory returns. Constructing reports to other organizations. Preparation of quarterl ... See more

1 year ago

via KBM Training and Recruitment

Monthly consolidations and reporting of the group results  Produce the statutory accounts  Balance sheet reconciliations  Support the external and internal audit processes  set up process and controls of new system &n ... See more

1 year ago

via KBM Training and Recruitment

£

London - South East England

Support with the budgeting and forecasting processes Reporting and Reconciliations Invoices Payments Performance analysis Payroll Cost allocation Other ad-hoc duties when required See more

1 year ago

via KBM Training and Recruitment

Assisting in the preparation of financial statements and reports, including balance sheets, income statements, and cash flow statements  Assisting with the preparation of budgets and forecasts  Managing accounts payable and accounts ... See more

1 year ago

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