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Kent - Bromley
Sales and purchase ledger and credit control Banking and payment, reconciliations Accounts through to trial balance VAT returns Payroll processing See more
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London - South East England
Liaising with tenants regarding rent payments Dealing with overdue accounts in a professional manner and taking appropriate action where necessary Maintaining arrears records and minimizing overdue accounts by maintaining regular m ... See more
via KBM Training and Recruitment
Hertfordshire - St. Albans
Preparation of monthly management accounts Preparation of monthly balance sheet reconciliations Monthly consolidations Provides regular management information Contribute to budgeting and reforecast process Prepare and submission of ... See more
via KBM Training and Recruitment
South East England - London
Responsible for overseeing the delivery of timely and accurate month-end close Develop and maintain a best practice accounting function with the standardization of processes. Resolve issues with country level teams Manage local s ... See more
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London - City of London
Interpretation of new accounting standards and ensuring readiness for application by the Group. Track external accounting developments. Assist in preparation of Audit committee paper for review and approval of Group dividends. Supporting Gro ... See more
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London - South East England
Review of property reporting packages prepared by local service providers and ensure their completeness and accuracy; Preparation and review of general journal entries; Review of local and group adjustments while ensuring proper applicat ... See more
via KBM Training and Recruitment
Hertfordshire - Watford
Maintaining financial controls and assisting with process improvements. See more
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Hertfordshire - Leavesden
Provide financial advice to non-finance staff driving efficiencies across the division Produce annual budgets and proactively review budget statements to present into senior management Provide commentary on the financial position of the divisi ... See more
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London - South East England
Managing accounts payable and receivable. Posting journals including prepayments and accruals. Preparing group and individual management accounts. Preparing statutory financial statements Bank reconciliations. Assisting with audits. Ke ... See more
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Oxfordshire - Oxford
Daily, weekly and monthly finance responsibilities Ensuring asset finance role are adhered to Supporting bank audits Supporting statutory audits Control reconciliations required to ensure accuracy to all ledgers Intercompany proces ... See more
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West Sussex - Pulborough
Supporting the Financial Controller to ensure transactions are correctly processed in line with Company procedures and reported accurately. Responsibility will include the reviewing, auditing and documenting of procedures and suggesting improvem ... See more
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Kent - Canterbury
Daily/ Weekly reconciliation of Bank transactions Scanning, coding and input of supplier invoices Monthly supplier statement reconciliations Producing “suggested” supplier payments for approval on a weekly/ monthly basis Reconc ... See more
via KBM Training and Recruitment
Kent - Tonbridge
Daily/ Weekly reconciliation of Bank transactions Scanning, coding and input of supplier invoices Monthly supplier statement reconciliations Producing “suggested” supplier payments for approval on a weekly/ monthly basis ... See more
via KBM Training and Recruitment
Berkshire - Newbury
Allocation and posting of cash receipts Payments and bank reconciliations Working with clients to manage any Direct Debit or digital billing queries Raising monthly sales invoices Assist with Management Accounts production Managing Audit ... See more
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East Sussex - Lewes
Maintain the Sales and Purchase Ledgers for the central budget Carry out month end Balance Sheet reconciliations and produce draft management accounts on an accruals basis. Prepare VAT returns. Assist with preparation and consolidation of re ... See more
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Suffolk - Newmarket
Maintaining cashbooks Daily Bank reconciliations Supplier statement reconciliations Resolving any payment issues Additional ad hoc duties as required by your line manager See more
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Surrey - Leatherhead
Prepare and distribute by email all monthly membership statements Assist in the resolution of member queries Reconciliation of member ledger to accounting ledger Preparation of direct debit collection files Manage the Accounts Receivable l ... See more
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East Sussex - St. Leonards-on-Sea
Monthly Management Accounts. Working with the Finance Director in the annual accounts' preparation for the company Auditors. Credit control. Understanding of product costings. Bank reconciliations. Management Reporting. Purchasing ... See more
via KBM Training and Recruitment
Essex - Colchester
Efficiently manage the debtor ledger, resolve queries in a timely and efficient manner. Distribute customer statements and chasing letters. Responsibility for the Purchase Ledger: Produce weekly/monthly payment runs. ... See more
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Buckinghamshire - Milton Keynes
Play a supporting role in producing consolidated results within deadlines Board pack preparation in collaboration with the Management Accountant Prepare month end reconciliations Prepare various analyses to support m/e Preparing and ... See more
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