We are currently seeking an exceptional Standalone - Financial Accountant to join our client's finance team. This is a unique opportunity to apply your strategic insight and help shape the future of the organization.Role OverviewAs the sole Accountant, you will take full ownership of the finance function. You will manage everything from daily data entry and payroll to month-end reporting and tax compliance. This role is perfect for a self-starter who enjoy
We are currently seeking an exceptional Standalone - Financial Accountant to join our client's finance team. This is a unique opportunity to apply your strategic insight and help shape the future of the organization.Role OverviewAs the sole Accountant, you will take full ownership of the finance function. You will manage everything from daily data entry and payroll to month-end reporting and tax compliance. This role is perfect for a self-starter who enjoy
Are you a qualified Accountant? Do you consider yourself to be highly successful at applying accounting standards, especially with fixed assets?Are you based in or around Neath? We have an initially temporary Accountant role available within Tata Steel. The successful applicant will be a qualified Accountant who considers themselves to be highly IT literate with strong attention to detail. Role: Accountant Location: Tata Steel, Port Talbot SA13 2NG(X2 day
Are you a qualified Accountant? Do you consider yourself to be highly successful at applying accounting standards, especially with fixed assets?Are you based in or around Neath? We have an initially temporary Accountant role available within Tata Steel. The successful applicant will be a qualified Accountant who considers themselves to be highly IT literate with strong attention to detail. Role: Accountant Location: Tata Steel, Port Talbot SA13 2NG(X2 day
We are partnering with a leading telecommunications company in their search for a Financial External Reporting Manager. This is a 6 month temporary role based in London offering hybrid working, and looking to pay up to £575 per day via umbrella for the right candidate.As the Financial External Reporting Manager, your responsibilities will include: External Deliverables: Lead the drafting and publication of quarterly results, trading updates, and interim/ye
We are partnering with a leading telecommunications company in their search for a Financial External Reporting Manager. This is a 6 month temporary role based in London offering hybrid working, and looking to pay up to £575 per day via umbrella for the right candidate.As the Financial External Reporting Manager, your responsibilities will include: External Deliverables: Lead the drafting and publication of quarterly results, trading updates, and interim/ye
€55,000 - €65,000 per year, Healthcare, Pension, Bonus
Key ResponsibilitiesFinancial Reporting: Deliver accurate monthly management packs for institutional residential portfolios.Data Integrity: Maintain all property-related financial data and oversee key reconciliations with full documentation.Stakeholder Liaison: Coordinate with Property Managers and clients to meet reporting deadlines and resolve queries.Budgeting & Analysis: Lead annual budget preparation and provide variance analysis to drive actionable i
Key ResponsibilitiesFinancial Reporting: Deliver accurate monthly management packs for institutional residential portfolios.Data Integrity: Maintain all property-related financial data and oversee key reconciliations with full documentation.Stakeholder Liaison: Coordinate with Property Managers and clients to meet reporting deadlines and resolve queries.Budgeting & Analysis: Lead annual budget preparation and provide variance analysis to drive actionable i
POSITION | Client Accounts Adminstrator HOURS OF WORK | 9.00am to 5.30pmBENEFITS PACKAGE | C - GeneralLOCATION | West Croydon DIVISION | B-hive Property Solutions (CF)QUALIFICATION LEVEL | Maths and English at GCSE (A-C) or equivalent Main Responsibilities Ensure that service charges are accounted for in accordance with the RICS Code of Practice, ARMA-Q rules, Accounting regulations and other HML best practices. This includes but is not limited to the
POSITION | Client Accounts Adminstrator HOURS OF WORK | 9.00am to 5.30pmBENEFITS PACKAGE | C - GeneralLOCATION | West Croydon DIVISION | B-hive Property Solutions (CF)QUALIFICATION LEVEL | Maths and English at GCSE (A-C) or equivalent Main Responsibilities Ensure that service charges are accounted for in accordance with the RICS Code of Practice, ARMA-Q rules, Accounting regulations and other HML best practices. This includes but is not limited to the
Responsibilities:* Providing Accountancy Services to a bureau of clients which will include (but is not limited to):o Preparation of monthly/quarterly management accountso Payroll Processingo Preparation of Unaudited Year-End Statutory Accountso Assisting/advising clients with systems of financial controlo Company Secretarial compliance with the Companies Office* Guide clients in change management processes, from current practices to the adoption of bestpr
Responsibilities:* Providing Accountancy Services to a bureau of clients which will include (but is not limited to):o Preparation of monthly/quarterly management accountso Payroll Processingo Preparation of Unaudited Year-End Statutory Accountso Assisting/advising clients with systems of financial controlo Company Secretarial compliance with the Companies Office* Guide clients in change management processes, from current practices to the adoption of bestpr
Responsibilities:Controllership of US GAAP obligations including leading, reviewing & coordinating the month end close, balance sheet reconciliations & reporting requirements; Controllership of Statutory audit obligations including the preparation of financial statements of Oracle subsidiaries, driving the audit & ensuring compliance with local requirements; Continually improve operational excellence by partnering with Oracle Global Finance Organisation; C
Responsibilities:Controllership of US GAAP obligations including leading, reviewing & coordinating the month end close, balance sheet reconciliations & reporting requirements; Controllership of Statutory audit obligations including the preparation of financial statements of Oracle subsidiaries, driving the audit & ensuring compliance with local requirements; Continually improve operational excellence by partnering with Oracle Global Finance Organisation; C
Treasury Analyst (6-Month Contract)We are looking for a detail-oriented Treasury Analyst to join a dynamic corporate treasury team in Paisley. This is a 6-month contract role focused on day-to-day cash management, bank documentation, and high-level reconciliations.Location: Paisley - Hybrid (2-3 days in office) Pay: £18-22 per hour (£38k equiv.) Hours: 37.5 per week | 09:30 - 17:30The RoleManage daily cash positioning and funding for various cash pools.Per
Treasury Analyst (6-Month Contract)We are looking for a detail-oriented Treasury Analyst to join a dynamic corporate treasury team in Paisley. This is a 6-month contract role focused on day-to-day cash management, bank documentation, and high-level reconciliations.Location: Paisley - Hybrid (2-3 days in office) Pay: £18-22 per hour (£38k equiv.) Hours: 37.5 per week | 09:30 - 17:30The RoleManage daily cash positioning and funding for various cash pools.Per
Reporting toGroup Financial Controller / Director of Finance (or CFO, depending on scale)Role PurposeThe Treasury Manager will design, implement, and run a robust cash flowreporting and forecasting capability for a regulated Platform-as-a-Service (PaaS)business.The role's primary objective is to ensure clear, accurate, and forward-lookingvisibility of cash, enabling strong liquidity management, confident decision-making,and effective engagement with senior
Reporting toGroup Financial Controller / Director of Finance (or CFO, depending on scale)Role PurposeThe Treasury Manager will design, implement, and run a robust cash flowreporting and forecasting capability for a regulated Platform-as-a-Service (PaaS)business.The role's primary objective is to ensure clear, accurate, and forward-lookingvisibility of cash, enabling strong liquidity management, confident decision-making,and effective engagement with senior
The OpportunityAre you a detail-oriented finance professional with a knack for cash management? We are looking for a Treasury Analyst to join our corporate treasury team in Paisley. This is a high-impact role where you will manage day-to-day cash operations, ensure seamless bank documentation, and maintain the financial integrity of our EMEA entities.In this role, you aren't just "crunching numbers"-you are the primary point of contact for banking queries
The OpportunityAre you a detail-oriented finance professional with a knack for cash management? We are looking for a Treasury Analyst to join our corporate treasury team in Paisley. This is a high-impact role where you will manage day-to-day cash operations, ensure seamless bank documentation, and maintain the financial integrity of our EMEA entities.In this role, you aren't just "crunching numbers"-you are the primary point of contact for banking queries
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