POSITION | Client Accounts AssistantHOURS 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 acc
POSITION | Client Accounts AssistantHOURS 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 acc
Accounts AssistantAccounts Assistant - Croydon/Hybrid - Excellent benefits and ProgressionAre you a recent finance / accounting grad looking for work within a successful accounting function? Are you looking for permanent work in the Croydon area with a leading company?Are you looking for an employer that can catalyst your accounting career?Come and join an Award-Winning accounting Team! We are seeking a highly professional and motivated Accounts Assistant
Accounts AssistantAccounts Assistant - Croydon/Hybrid - Excellent benefits and ProgressionAre you a recent finance / accounting grad looking for work within a successful accounting function? Are you looking for permanent work in the Croydon area with a leading company?Are you looking for an employer that can catalyst your accounting career?Come and join an Award-Winning accounting Team! We are seeking a highly professional and motivated Accounts Assistant
The team is responsible for the production and reporting of all liquidity, funding and IRRBB information for the bank, including bespoke internal and regulated external reporting. This includes providing daily liquidity metrics to key stakeholders and monthly/quarterly returns to the UK Regulator. In all instances reporting needs to be timely, accurate and complete, with results validated against prior periods and in line with business objectives; reconcil
The team is responsible for the production and reporting of all liquidity, funding and IRRBB information for the bank, including bespoke internal and regulated external reporting. This includes providing daily liquidity metrics to key stakeholders and monthly/quarterly returns to the UK Regulator. In all instances reporting needs to be timely, accurate and complete, with results validated against prior periods and in line with business objectives; reconcil
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