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Bedfordshire - Bedford
Reporting and identification on risk and recommendations on appropriate solutions. Prepare detailed planning, budgeting, forecasting, and analysis processes. Complete month-end processes and prepare analysis. Ad-hoc financial investigations. ... See more
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London - South East England
Data collection and consolidation of the monthly group reporting, including consolidated budgets, forecasts, intercompany eliminations and other group adjustments. Managing the intercompany reconciliation process, reconciling balances on a month ... See more
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Surrey - Blackwater
Daily accounts for business on SAGE Daily Invoices and Credits for Perfect Paint Monthly Management accounts Oversee book keeper, credit control and junior accounts person Deal with Chartered Accountants (external company) to pass over fig ... See more
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Oxfordshire - Oxford
Preparation of management accounts Completion of VAT Returns Bookkeeping Raising draft invoices Reviewing and mentoring input from junior members within the team See more
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Bedfordshire - Bedford
You’ll be exposed to many different areas of finance including: Accounting, cash management, updating cashflow, forecasting revenues, monthly reconciliations, inter-company trading accounts, annual financial statements and end of year auditi ... See more
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South East England - London
Preparation of budgets and forecasts, liaising closely with operational teams Involvement in the preparation of financial plans for the planned roll-out Prepare capital expenditure models for existing and new sites and acquisitions Cash flow ... See more
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Berkshire - Windsor
Issue customer invoices and timesheet management via the Project Management system Manage the accounts payable process, from setting up suppliers through to payment allocation Processing and calculation of staff related payments, including exp ... See more
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Hertfordshire - St. Albans
Completing and submitting company accounts Tax planning Management accounts Client management and communication Preparing and submitting VAT returns Preparing sole trade and partnerships accounts from ... See more
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South East England - London
Management accounts preparation Balance sheet reconciliations General ledger reconciliations Bank reconciliations Accounts Payable and Accounts Receivable Additional duties such as compliance documentation See more
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London - South East England
Defining credible practice for sustainability systems based on emerging global consensus Convening forums for collaboration, sharing of experience and collective action Delivering expertise, advice and training Facilitating and promoting inn ... See more
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South East England - London
Management accounts preparation Balance sheet reconciliations General ledger reconciliations Bank reconciliations Accounts Payable and Accounts Receivable Additional duties such as compliance documentation See more
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South East England - London
Preparing and delivering monthly and quarterly reports Bank reconciliations Preparing VAT returns Monitoring cash levels Inputting accounting data via accounting software - Sage 50 Cash analysis for various entities See more
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Hertfordshire - Hitchin
Day to day bookkeeping Monthly management accounts VAT Returns Yearend accounts Other admin duties See more
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Surrey - Banstead
Bookkeeping - payable (and overheads) in the accounting system Issuing and recording invoices Credit control sending out weekly account payable / receivable reports Compliance - perform and check on incoming trade payables (company, di ... See more
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Essex - Chelmsford
Process accounts and incoming payments (including cash and cheques) Bank reconciliations Circulate aged debtor report to depot managers Manage card receipts and company credit card payments Month end reconciliations as required in pr ... See more
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Kent - Maidstone
Preparation of monthly VAT returns and filing online with HMRC Managing workload to meet deadlines General bookkeeping, keeping a track of invoices, accumulating invoices together for VAT returns Credit control &nbs ... See more
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Middlesex - Hounslow
Maintain accurate financial records, including ledgers, journals, and receipts. Prepare and reconcile bank statements and credit card transactions. Record and reconcile transactions for accounts payable and receivable. Prepare invoices and t ... See more
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London - South East England
Sales and Purchase Ledger Bank and Credit card reconciliation Submitting VAT and CIS returns Credit Control Working with incomplete records Posting Journals Reconciling control accounts ... See more
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Middlesex - Wembley
Sales ledger- chasing payments, reconciling payments received to sales invoices on customer accounts, sending statements and posting sales invoices created by the sales team. Purchase ledger- entering supplier invoices received by email and  ... See more
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Hertfordshire - South East England
Maintaining both accounts payable and receivable functions Bank and supplier statement reconciliations Preparation and submission of VAT Returns Credit Control Dealing with monthly payroll Being the main con ... See more
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