Doing all you can to increase income to support the work of the Trust, your responsibilities will include meeting and greeting customers, merchandising, pricing, stock sorting and rotation, banking ...
Maintain cash books for the general bank account, rent bank account and deposit bank account Experience required: * Experience working in the Social Housing sector - desirable * Experience ...
Associate Director Based in Henley on Thames with excellent transport links into Reading, and in the heart of London near Bank station, our client is a leading independent practice who specialise in ...
Daily banking functions including bank reconciliations and operation of online banking facilities. Processing payment runs by BACS and cheque. Accounts Payable and Sales ledger tasks including ...
NHS Professionals works with Trusts to develop a 'Bank' of highly skilled workers who want to work flexibly with the NHS. Why NHS Professionals? We value your skills, dedication, and commitment in ...
Duties: - Supporting team with purchase ledger and sales ledger duties - Carrying out high volumes of bank recs - Assisting with daily banking - Collating and maintaining cash flow reports - Running ...
Banking and bank reconciliations * VAT returns * Monthly management accounts, P&L, Balance sheet, Cashflow forecasting * Liaising with external Accountants, answering queries The company are ideally ...
Bank payment preparation * Bank reconciliation The role will suit someone with the relevant work experience and who can commit to the duration of the assignment. Strong financial accounting knowledge ...
Daily banking including using online banking facilities, transferring funds between accounts, making electronic payments and recording receipts * Handling general enquiries and resolving queries ...
Excellent work-life balance (Monday-Friday) - no nights, weekends, or bank holidays required. * Flexible hours available after training period. * Annual salary reviews and generous performance-based ...
The main job responsibilities are processing invoices, supplier and bank reconciliations and processing cash receipts. Description * Processing invoices and payments in a timely and accurate manner
Bank Reconciliations - daily and monthly (including currency accounts) * Logging incoming cheques and preparing paperwork for banking * Processing cheques for both office and client bank accounts
Bank hours to cover a mixture of Day & Sleeping Night shifts including weekends. The typical shifts are 12.25 hours, from 7.30am-7.45pm and7.30pm-7.45am. As a bank worker you will be covering for ...
Key Responsibilities: * Assist with daily banking activities and journal entries. * Manage purchase ledger invoices, input data, reconcile statements, and process creditor payments using ERP systems
This is a unique opportunity to be part of a bank re-financing project taking the lead within FP&A. Based remotely with occasional requirement to travel to Oxfordshire Client Details Our client is a ...
Accurately process banking entries, dealing with any banking queries. * Ensuring all bank accounts are fully reconciled at month end. * Assist with the month end process, ensuring that all deadlines ...
Key responsibilities : * Assist daily banking and enter journals * Print purchase ledger invoices input them, check statements, pay creditors and reconcile on ERP * Query PL invoice discrepancies
We offer a competitive salary dependant on experience and in addition we offer 33 days holiday including bank holidays, company pension, private medical cover for you and your partner, death in ...
Speech and Language Therapist (Bank) Nuffield Health The Manor Hospital Oxford Up to £26 P/H (DOE) Bank Working on the bank means you are not contracted to a set number of hours per week but instead ...
Holidays : 20 days per annum plus Bank Holidays, increasing to 25 days per annum plus Bank Holidays after 5 years. Overview: Our client is seeking an experienced and highly motivated Operations ...
On commencement 21 days holiday plus 8 bank holidays, rising to 25 days plus 8 bank holidays * Discretionary bonus, life assurance & pension The Company: A global logistics / freight forwarding ...
Reconciling bank statements with Leap entries * Processing purchase ledger invoices on Xero, scheduling and sending payments * Processing office and client account cheques, reissuing out of date ...
Processing all transactions that appear on the bank statement daily * Entering details onto SAP * Generating manual payment requests using various banking platforms * Taking credit card transactions