The Compliance Officer will be responsible for ensuring that the company operates in full compliance with all relevant regulations set forth by the Financial Conduct Authority (FCA) and other applicable regulatory bodies.
The Compliance Officer will develop, implement, and oversee compliance policies and procedures to mitigate regulatory risks and ensure that the company's operations adhere to all regulatory requirements.
The Accounts Assistant will support the finance team with a variety of accounting tasks, including the preparation and maintenance of financial records, reconciliation of accounts, and processing of invoices.
The role requires excellent organizational and numerical skills, with a preference for candidates who have prior experience or exposure to service charge accounting.
Posted by Mellis Blue Accountancy Recruitment • £80K/yr to £100K/yr
Are you the hands-on Partner Designate we're looking for
We are looking for an experienced candidate to join a reputable accountancy practice at Partner Designate level, with the chance to make a real mark on a thriving firm of accountants and business advisors.
We want to hear from you if
You have a natural talent for nurturing a dynamic team, providing constructive mentorship to junior staff through training and knowledge sharing.
You're passionate about driving business development, building a network of potential new business contacts and scoping new service lines for existing clients.
Demonstrated experience in handling purchase ledger responsibilities.
General
Our client, a dynamic company involved in new build and refurbishment schemes across the UK, is seeking a confident, self-motivated, and hardworking Purchase Ledger to join their thriving team.
If you are available immediately and eager to work in a busy and close-knit environment where no two days are the same, this could be the perfect opportunity for you.
Employment Type: Full-time (part-time may be considered)
Job Summary
The Service Charge Accountant is responsible for managing, reviewing, and reporting on service charge accounts for a portfolio of properties.
This role involves the preparation, reconciliation, and audit of service charge budgets and year-end accounts in line with legal and contractual requirements.