Assist with day-to-day accounting tasks such as accounts payable/receivable, bank reconciliations, and expense processing.
General
In this role, you will receive practical training and support to develop your skills in accounting while studying towards the AAT Level 3 qualification.
We are seeking a motivated individual to join our team as an AAT Level 3 apprentice.
The organisation is recruiting a Technical Accountant to play a pivotal role in the implementation of Microsoft Dynamics Finance and Operations.
My client is a prestigious organisation that seeks to support an integral part of UK's medical profession.
With a diverse business model they provide a huge range of services to its members and seek to influence NHS policy and direction for the benefit of all.
A new role has arisen for a Technical Support Technician to join a leading manufacturing business in Telford, Shropshire.
Working 8 16.30 Mon Fri
This role will be predominantly office based, working within the Technical team and you will be responsible for producing 2D AutoCAD drawings and programs for Laser machine operation.
My client a prestigious Barristers Chambers, renowned for their commitment to excellence and professionalism, are currently seeking an experienced AAT Qualified Bookkeeper to join their busy finance team.
This role is a 6 month FTC, offering hybrid working (3 days in the office) and a competitive salary.
Key Responsibilities will include
All aspects of general bookkeeping duties up to Trial Balance.
They currently have an opening for an Assistant Accountant to join their team on a 3 - 6 months fixed term contract.
This company offer flexible/hybrid working.
Exciting opportunity to join our client based in Quedgeley, Gloucesterwho have been operating for over 160 years and have achieved Investors in People status!
My client is looking to recruit an Accounts Assistant to join their team.
The Accounts Assistant will be reporting into the Cash and Reconciliations Manager.
You will be responsible for investigating, reporting on and reconciling any errors on the sales ledger, to clean-up the ledgers and provide a true position to the business.