Managing account reconciliations by collaborating with clients, insurance underwriters, and brokers to secure funds, while maintaining efficiency in a fast-paced environment. * Providing outstanding ...
... the reconciliation of payroll adjustments for both weekly paid and salaried staff. • Assist with in-house awareness/training material that gives guidance to managers on expected practice and ...
The role will span margin account management, hedge fund operations, NAV reconciliation, risk management, reporting & compliance, and clearing & exchange analysis. Asset classes covered are mainly ...
Bank reconciliations. * Projects : Help identify and deliver process improvements. Profile * Qualified accountant (ACA, CIMA, ACCA) - ideally first time passes * Experience in producing management ...
Oversee daily payments (SEPA, SWIFT, FPS, etc.), reconcile transactions, and ensure timely, accurate execution. * Compliance: Ensure compliance with FCA, PSD2, AML, and KYC regulations, and assist ...
Contribute to the reconciliation of premium settlements to written premium records for Consortia. * Assist with the production of regulatory returns, such as Lloyd's PMD. * Monitor and action Lloyd ...
With Soldo, budgeting, payments, reporting and reconciliation are simple and efficient. We're both a financial services and a software company and one of Europe's fastest growing fintech companies
Reconciling income from provider sites - AJ Bell, Transact, Standard Life, Utmost et al. * Maintenance of client and company data and information on our servers. * The administrative duties that ...
Oversee store operations including daily reconciliation reports, bank statements and sales reports to UK Finance Team and Head Office * Ensure cash banking is carried out accurately on a weekly basis
This is an administration role within the Quilter Cheviot Operations Department based in London to assist with the completion of daily & monthly client asset reconciliations (both cash and stock
Managing production of internal management reports including cost value reconciliations, profit plans and cash flow projections at regular intervals. Liaison with the Client's representatives on all ...
Ensure timely confirmations of trades, reconciling contract terms with trading agreements and ensuring alignment with internal policies. * Identify potential contract risks and discrepancies ...
Site budget tracker reconciliation work, to ensure finance process is robust and as efficient as possible. Experience, Knowledge & Skills: Essential: * Team player that clearly demonstrates positive ...
Site budget tracker reconciliation work, to ensure finance process is robust and as efficient as possible. * Filing support to team due to additional workload as part of UK independence project ...
Monthly Cost & Value reconciliation reports To be considered for the role of Quantity Surveyor, you will have: * Minimum of 4 years' experience as a M&E Quantity Surveyor * Bachelor's degree in ...
Warehouse coordination and stock reconciliation. * Handle all shipment related expenses, claims and client receivables / payables. * Responsible for Contract Management, Vendor Management and Risk ...
Month-End Reconciliation, Liaising with the central accounting team to close out each month's records. * Collaborate on a Custom Data System, working with Rights and Operations teams to develop a ...
Successfully upload and reconcile the annual equity grants in collaboration with HR, CoSec and finance teams. In-House Requirements Assessment : * Identify and outline the equity management tasks ...
Responsible for overseeing the collation and reconciliation of all Treasury data, to provide MI for reporting purposes to Treasury, GEC, ALCO, the Board, and the PRA * Manage the bank's liquidity ...
Reconcile budgets, monitor expenditures, and submit accurate financial reports. * Provide financial guidance to Principal Investigators and research teams. * Ensure compliance with funder terms and ...
... reconciliation, and timely submission to the finance team to meet deadlines. · Being responsible for all matters relating to company vehicles, (e.g. insurance, parking permits, MOTs, road tax, etc ...
Lead on data reconciliation from external systems integrated into Anaplan (e.g. Oracle, Workday) * Business partner with the accounting team to review monthly actuals with key stakeholders and ...
Ensure data integrity through stringent validation and reconciliation processes, addressing discrepancies promptly. * Partner with Trading, Operations, Compliance, and IT teams to align reporting ...
Office admin such as document filing, maintaining business accounts (reconciliation, bookkeeping) * Purchase services and coordinating with suppliers * Arrange shippings and mailings * Negotiate with ...