Responsibilities within the role will include preparation of statutory accounts, group consolidations, coordination & production of the P & L, balance sheet, cash flow statements etc. In addition to theses duties you will need to be able to liaise at board level as month end responsibilities will also include production of the flash reports and presenting the the Finance Director including commentary. You will also be involved in process and policy
that will capture all relevant costs, calculate the profitability of bids and cash... preferably be part or a fully qualified accountant and be able to build P&L and cash flow
The Company ----------- Robert Half Finance & Accounting are currently recruiting for a temporary Accounts Assistant for a Nottingham based motor dealership to start immediately. The Role -------- My client is ideally looking for an Assistant Accountant who has previously worked in a dealership environment previously who understands the specific methods of accounting in this industry. The day to day duties of this role will encompass a wide range of duties including updating the warranties l
A leading player in the engineering services industry are seeking a European Credit Controller (with fluent French) To chase UK & Continental European debt for a 6-12 month contract. Reporting into the European Credit & Collections Manager the key responsibilities are: - Cash collection of UK /Continental European entity debtors in accordance with agreed payment terms, using appropriate chasing techniques - Identify and flag disputed invoices - following up with
£23,000 to £28,000 per year (+ 25/days + benefits)
location
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Derbyshire
description
:
, manual cheque payments, bank reconciliations and journal allocated cash receipts; ensuring cash flow is closely managed and reported on a daily basis; and period
The Company ----------- Robert Half Finance and Accounting seek an ACA Qualified Financial Accountant for the UK Corporate head quarters of a global manufacturing organisation near Newport. The Role -------- The accountant will be responsible for the production of statutory accounts, tax returns, corporate office costs and P&L as well as UK Treasury and cash Management. Knowledge of UK GAAP is essential and knowledge of US GAAP and advantage. The successful candidate
Robert Half Finance & Accounting are recruiting on behalf of one of the North West's largest employers who are seeking to appoint a credit controller to join the Warrington office The Role -------- Duties will include the following;-Daily collecting of debt from customers to ensure payment is received by month end -Reviewing ledger with Team Leader on a weekly basis, monitoring performance of cash collected against target. - Controlling the logging and allocation of
Job specification for Senior Accountancy Technician. To work as a part of a team assisting in the production of monthly bank reconciliations. To perform the cash management and treasury function on the allocated days with the aim of maximising interest earnings and minimising overdrawn positions within the constraints of the mandate. Duties include. Ensure that in accordance with the cash... document . To continually appraise the methodology of cash management and treasury and
Leading manufacturing company based in Mitcham is looking for a qualified Accountant to manage a small finance team. Your role will include all aspects of Management and Financial Accounting as well as managing the treasury /payment and cash flow forecasting of the company. You will be actively liaising with all departments within the company and overseeing all aspects of IT contracts/insurance matters and suppliers. Immediate Start.
Are you available immediately? Our High Wycombe based client is looking for an experienced Credit Controller to join their team on a temporary basis. Working within a team of six, the successful candidate will be responsible for collecting cash, resolving customer queries, raising credit notes and invoices where necessary and place accounts on stop when needed. Christopher Benn Associates is an established Consultancy specialising in Finance recruitment. We provide a
Global investment organisation have an immediate vacancy for a Management Accounts Assistant to provide Maternity cover, longer term prospects would be available within the team. Your responsibilities will include assisting with the production of the management accounts, production of MI and KPI's each month, production of daily cash forecasts, production of basic monthly cost centre reporting and MI. You will also be responsible for assisting with budgeting and forecasting
Join our Risk Assurance Services in the South East and find out why more and more clients are choosing us! The Role We are looking for a Treasury Professional to join our South & East team. You will work as part of the South & East Risk Assurance Service team, currently comprising approximately 90 staff, at either our Uxbridge office. Our main focus is advising clients on Cash and Working Capital management techniques,