Complying with various policies of the bank like credit policy, AML/KYC Risk matrix COMPETENCY: * Good communication skills, both verbal and written. * Knowledge of Microsoft Office products
ABOUT THE ROLEAs a Bank Care Assistant at a Barchester care home, you'll help residents enjoy each day by making sure they get the quality care and support they deserve. You'll assist with daily ...
Contracted hours - Bank Hours available * Shifts work - * Workplace pension * Comprehensive and further development opportunities * Opportunities for Career progression * Refer a Friend Bonus - up to ...
Our Charity P3 is a modern, forward-thinking organisation, delivering excellent services for people who face social exclusion. Our values are that we innovate in our work. We're different, creative ...
? Exciting Opportunity Alert! ? We are currently seeking a skilled and dynamic Debt Recovery Manager to join our client's team on a temporary basis. If you have experience in managing financial ...
By joining us you can look forward to a choice of flexible Bank shifts across any of our client Trusts in England, as well as the ability to develop professionally and gain experience in several ...
Role: Banksman Location: Slough Contract type: Temporary (Full time) Start date: ASAP Pay rate: £15 p/h Fawkes & Reece contact: Charlie (London office) - (phone number removed) Requirements
Being responsible for ensuring bank account transactions are processed * Reconciling all bank accounts * Credit card reconciliations Finance Manager Benefits: * 25 days annual leave plus bank ...
... UK bank holidays. * - Wide range of career development opportunities . * - A vibrant culture committed to equality and being fully inclusive . The salary for this role is £38,620 (inclusive of a ...
Annual Leave: 33 days (inclusive of bank / public holidays) * Office based and 1 day working from home. * The role will require some travel to Wales. Our client, who are a care home group, seeking an ...
This role is ideal for someone who has previous Bank Reconciliation experience with a working knowledge of SageLine50. Reporting to the Operations Manager and supported by an external firm of ...
Reconciling bank statements and other financial records * Preparing and maintaining accurate financial records for clients * Managing client accounts and ensuring timely payments * Preparing tax ...
Accounts Receivable ManagerType: Full Time, PermanentSalary: £45,000 - £50,000 per annumAnnual Leave: 33 days (inclusive of bank/public holidays) Location: Central Support Office, Uxbridge About ...
Review banking approval limits and structures * Provide the Finance Director with financial information and assistance to support the decision-making process * Ensure that the ESFA chart of accounts ...
AP ledger, employee expenses, cash advance and supplier statement reconciliations · Post monthly cash transactions for Head Office bank accounts into Sage Intacct · Prepare interest and ...
Holidays : 20 days per annum plus Bank Holidays, increasing to 25 days per annum plus Bank Holidays after 5 years. Salary : Starting salary of £45,000 p/a with review upon successful completion of 3 ...
Nursery Manager - Pinner Full time Salary up to £50k Benefits- 28 days holiday per year including 5 days at Easter, 5 days at Christmas, bank holidays and the remaining to take in your own time
Joining a Finance Team of 4, the Commercial Accountant will concentrate on 3 elements of the financial function including commercial accounting, AR and banking. If you are an experienced Commercial ...
The Finance Manger will supervise and manage a small team of accounts staff, ensuring the smooth operation of accounting, accounts receivable, accounts payable, payroll, and purchasing, bank ...
Manage the bank mandate and approval processes. Develop and monitor monthly cash forecasts to optimise liquidity management.* Group Consolidation and Reporting: Coordinate quarterly group ...
Get 20 days annual leave plus bank holidays.
Allocation of bank receipts to customer accounts * Maintenance of "off-line" debt related reports * Linking of customer accounts and updating bank account details to facilitate customer refunds
Bank Reconciliations for year-end accounts, assist with finalising bank reconciliations as required * Provision of accurate, timely and effective accounting information to all parties, liaison with ...
Review daily bank balances for all group companies and provide cashflow forecasts where appropriate * Update Fixed Assets registers monthly for all group companies * Assist with the implementation of ...