We are partnering with a multi-academy trust in their search for an Accounts Receivables Clerk. This role is based in Croydon and will run for 6 months offering hybrid working and a day rate between £120 per day to £140 per day PAYE for the right candidate.As the Accounts Receivables you will be responsible for income & invoicing, credit control & debt management, cash allocation & reconciliations, systems & data management.This role could be right for you
We are partnering with a multi-academy trust in their search for an Accounts Receivables Clerk. This role is based in Croydon and will run for 6 months offering hybrid working and a day rate between £120 per day to £140 per day PAYE for the right candidate.As the Accounts Receivables you will be responsible for income & invoicing, credit control & debt management, cash allocation & reconciliations, systems & data management.This role could be right for you
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
Job Title: Analyst, Accounting IntercompanyPay rate: 30k-34k per annumLocation: FrimleyContract duration: 6 month contractROLE SUMMARYThis is role sits in our EMEA Shared Service Centre (SSC) function. The Intercompany team excitingly supports globally the various SC Johnson companies. You will ensure intercompany transactions are recorded correctly in accordance with global policies. Follows up as appropriate to ensure payments are done and received in
Job Title: Analyst, Accounting IntercompanyPay rate: 30k-34k per annumLocation: FrimleyContract duration: 6 month contractROLE SUMMARYThis is role sits in our EMEA Shared Service Centre (SSC) function. The Intercompany team excitingly supports globally the various SC Johnson companies. You will ensure intercompany transactions are recorded correctly in accordance with global policies. Follows up as appropriate to ensure payments are done and received in
Are you having experience in accounting industry? We are currently recruiting for a Accounting Analyst. Job Title: Accounting AnalysrtLocation: FrimleyDuration: ContractSalary: £16.92 p.hWorking hours: 37.5 hours/week ROLE SUMMARYThis is role sits in our EMEA Shared Service Centre (SSC) function. The Intercompany team excitingly supports globally the various companies. You will ensure intercompany transactions are recorded correctly in accordance with g
Are you having experience in accounting industry? We are currently recruiting for a Accounting Analyst. Job Title: Accounting AnalysrtLocation: FrimleyDuration: ContractSalary: £16.92 p.hWorking hours: 37.5 hours/week ROLE SUMMARYThis is role sits in our EMEA Shared Service Centre (SSC) function. The Intercompany team excitingly supports globally the various companies. You will ensure intercompany transactions are recorded correctly in accordance with g
Job Title - Treasury Manager - Cashflow Reporting & AnalysisLocation - Hybrid Reporting to Group Financial Controller / Director of Finance (or CFO, depending on scale)Role PurposeThe Treasury Manager will design, implement, and run a robust cashflow reporting and forecasting capability for a regulated Platform-as-a-Service (PaaS) business.The role's primary objective is to ensure clear, accurate, and forward-looking visibility of cash, enabling strong li
Job Title - Treasury Manager - Cashflow Reporting & AnalysisLocation - Hybrid Reporting to Group Financial Controller / Director of Finance (or CFO, depending on scale)Role PurposeThe Treasury Manager will design, implement, and run a robust cashflow reporting and forecasting capability for a regulated Platform-as-a-Service (PaaS) business.The role's primary objective is to ensure clear, accurate, and forward-looking visibility of cash, enabling strong li
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