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Buckinghamshire - Milton Keynes
Clients are wide ranging in industry sectors with typical clients are up into the tens of thousands of turnover, with larger clients into the millions in turnover. There is a team of professionals, varying in level, background and experience supporti ... See more
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Hertfordshire - Borehamwood
Process month end to include preparing and posting journals for payroll, prepayments, and accruals. Reconcile, analyses and clear all balance sheet accounts Liaise with Controllers based in London Head Office Daily reconciliation of Boutique ... See more
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Buckinghamshire - Amersham
Payroll Purchase Ledger Sales Ledger Bank Reconciliation Invoice Management Monthly Statements Credit Control See more
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London
Perform technical reviews of the Solvency and Financial Condition Report (SFCR) and fieldwork documentation completed by audit teams Evaluate technical issues, consult with Senior technical reviewers and respond to queries raised by audit teams ... See more
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Surrey - Woking
Day to day management and processing of accounting transactions. Regular liaison with outsourced finance service provider to ensure timely processing of accounting transactions, payment of local supplier invoices and submission of relevant retur ... See more
via KBM Training and Recruitment
London
Lead and develop treasury operational activity as well as operational related projects to deliver process improvement whilst operating in a risk controlled framework and contributing to Canopius profitability Day to-day management, execution and ... See more
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North West London - Watford
The individual will be required to demonstrate exceptional tax compliance skills and the ability to work to tight deadlines. The work is by nature high profile and the ability to treat matters with the utmost confidentiality will be key. The work wil ... See more
via KBM Training and Recruitment
London
This role is responsible of the coordination of the consolidated accounts and delivering timely and internal reporting across our Group. Managing the reporting process with several stakeholders over numerous jurisdictions will also be a key deliverab ... See more
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London - Walthamstow
Vat returns Purchase ledger/ sales ledger processing Bank Reconciliations Accruals and prepayments CIS returns Payroll. See more
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Surrey - Weybridge
Sales and purchase ledger support Liaising with suppliers to ensure batch invoices are correct Raising purchase orders Supplier statement and bank reconciliation Quarterly VAT returns Updating of journals and monthly reporting Preparat ... See more
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North West London - High Wycombe
We are currently seeking an applicant who will support the company's vision to double growth, assist with a new system implementation alongside building robust controls within finance, assisting company profitably and strategic goals. This is a ... See more
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London
This is a rapidly growing and exciting area, whereby you will have plenty of opportunity to develop your skillset to keep up with the ever-growing demands of the digital landscape. Most of your time will be spent working on projects where you will su ... See more
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Hertfordshire - Hemel Hempstead
Our client, a global household brand based in Hemel Hempstead has an opportunity for a Management Accountant to make a move into a fast paced, high profile role. Working closely with the Financial Controller you will play a key role in the continued ... See more
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Hertfordshire - Kings Langley
Ensure the accuracy of all financial records, preparing month end accounts with commentary and insight for the business Preparation of balance sheet reconciliations for key accounts as well as being one of the main reviewers of other balance she ... See more
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Surrey - Woking
We have a really exciting new opportunity for an experienced Executive Assistant to provide efficient and effective administrative support to the Chief Executive Officer and the Chief Financial Officer. The role is UK based. Hybrid working with requi ... See more
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Berkshire - Reading
Highly experienced and qualified accountancy team Possesses the expertise to support clients from start-ups through to large businesses. Great work/life balance Bookkeeping responsibilities within the business Communication with clientele ... See more
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Middlesex - Brent
Your daily duties will include, sales invoices input, Credit control, Processing employee expensive, Bank reconciliation Ad-hoc duties See more
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Essex - Chelmsford
Lead on developing and maintaining the organization’s accounts structure in line with financial accounting standards to ensure improvement in financial management, and accurate internal and external reporting Deliver financial traini ... See more
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Kent - Ditton
Matching, batching and coding of purchase ledger invoices Matching, batching and coding sales ledger invoices Chasing outstanding debt Reducing debtor days Daily banking Bank reconciliations Journals and p ... See more
via KBM Training and Recruitment
London
The Accounting Manager is the key finance business partner for our hotels in Germany and Austria. This position will report directly to the VP of Finance. This role will require accurate finance control and will certainly develop your business acumen ... See more
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