15/05/2024 | Fulltime | England | Bytes Software ServicesOrdination of accounts and finance operations . KEY RESPONSIBILITIES - Assisting and reviewing BSS management accounts - Month end journals, balance sheet reconciliations - Main contact for audit - external - Assisting with internal audits - Preparing reports for IFRS reporting 9, 15 and 16 - Preparation
Save for later15/05/2024 | Fulltime | MetroBankAnd reporting • Maintaining the rigour of reconciliation and control processes, continually ensuring that anomalies are investigated on a timely basis • Supporting the year end statutory processes, including liaising with external auditors And we are a bank so risk is a part of everything we do. We love people
Save for later15/05/2024 | Fulltime | CSL SeqirusCompany guidelines up to a pre-specified amount • Processes payments/postings in SAP accounts receivable system and performs daily reconciliations • Participates in month end close process; reconciles accounts, posts journal entries and maintains accurate general ledger • Checks and analyzes financial
Save for later14/05/2024 | Fulltime | Adiva Accountants LtdWill suit someone with good communication skills, both verbally and written. You'll have strong technical skills, have a can-do attitude to problem-solving, and be experienced to hit the ground running. Job Purpose - Preparation of VAT returns - Bookkeeping services using spreadsheets - Bank reconciliations
Save for later14/05/2024 | Fulltime | Modulr Finance LimitedCome with a sort code and account number, access to payment systems (eg Faster Payments and Visa) and everything our customers need from a payments account. They can instantly open as many accounts as they need, automate how they make and receive payments as well as the reconciliation processes
Save for later14/05/2024 | Fulltime | Boston Consulting GroupEscalation and resolution. - Perform regular transactions and reporting audits to ensure compliance with the Purchasing and T&E policies. - Conduct advanced analytical and investigative review/reconciliations of transactions to ensure accurate, timely and insightful reporting to support decision-making
Save for later14/05/2024 | Fulltime | Boston Consulting GroupTo the highest standards. - Lead the accuracy and control of the financial accounting activities during the monthly close and year end including completeness of journal entries, uploads to HFM consolidation system and the review - sign-off of the balance sheet reconciliations - Responsible for the preparation
Save for later14/05/2024 | Fulltime | Bridgend (Wales) | CV-Library | £27,000 - £30,000 / Year Client provides convenient and complimentary parking facilities for all employees. Key Responsibilities Support in the preparation of financial statements, reports, and budgets. Manage accounts payable and accounts receivable functions. Perform bank statement and account reconciliations to ensure
Save for laterRegister your CV14/05/2024 | Fulltime | Guildford | CV-Library | £35,000 - £40,000 / Year Calculation, presentation, and payment of VAT. Report on company assets and liabilities including balance sheet account reconciliations and review of intangible assets. Ensure compliance with all financial regulations. Carry out continuous reviews of working accounting practices and processes to ensure
Save for laterRegister your CV14/05/2024 | Fulltime | Manchester | CV-Library | £30,000 - £45,000 / Year Years of experience in accounts payable/purchase ledger processing. Proficiency in accounts payable/purchase ledger software (e.g., SAP, Oracle, Microsoft Dynamics). Experience with accounts payable/purchase ledger reconciliations. Excellent organisational and time management skills for managing high
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