Due to exciting business growth, a fantastic opportunity has arisen for a diligent and motivated Accounts Associate to break into banking in the heart of London.
In this role, you will be responsible for conducting daily reconciliation processes related to customer funds held in safeguarding accounts, ensuring compliance with Financial Conduct Authority (FCA) regulations, and the company's own Safeguarding policy.
Kenneth Brian Associates are recruiting for a leader in their field who are looking for an Accounts Assistant to join their team on a permanent basis.
This is a brand new role due to growth within the company where you will be reporting in to the Finance Manager, you will need experience in AP & AR and due to the location you will need to be able to drive.
Main Duties
Assist with the preparation of financial statements, reports, and budgets.
The role of Senior Accounts Analyst will sit in the finance function providing support on day to day cash management activities , including bank reconciliation and cash activity analysis.
Company client currently recruiting on behalf of a specialist insurance client in London.
This is a permanent opportunity to join a business who focus on empowerment , support and putting people first.
My client, a vibrant media company are looking for an enthusiastic Accounts Assistant to join their team and provide essential support to the department.
This role will be reporting to the Head of Finance and will interact closely with various departments across the company.
You will have a basic grounding in finance with a willingness to pursue a career in finance.
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.
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.