As the Credit & Cash Collection Analyst, you will play a crucial role in supporting the credit risk and cash collection process for our client, ensuring a healthy cash flow and minimising credit risk.
Our client, a leading utilities company, is seeking a Credit & Cash Collection Analyst to join their Financial Control team.
Work Arrangement: Hybrid (Minimum 2 days per week on-site)
Our client, a leading company in the energy sector, is seeking a dynamic and experienced Finance Business Partner to join their team in Warwick.
This is an exceptional opportunity for an individual looking to make a significant impact within the organisation and shape the financial strategy and performance of various business units.
General
Work Arrangement: Hybrid (Minimum 2 days per week on-site)
We're proud to be recruiting on behalf of our high-profile energy client for a Senior Reporting & Analytics Analyst!
The role will entail experience in SuccessFactors MyHub Report Centre, HR data analysis & customer engagement within the UK FDRO (Finance & Data Reporting Office) part of Enterprise Business Services.
FDRO strengthens our clients capability and efficacy of the end-to-end data lifecycle, from data governance, data quality, data engineering and global reporting and analytics.
RM Recruit are pleased to be working with a Warwickshire based client who are seeking a bright, resourceful Research Finance & Compliance Assistant to join their team on a full-time, temporary basis for 3-6 months with scope to become permanent.
Our client is able to offer flexible hybrid working and the ideal candidate will be immediately available or available on short notice.
Responsibilities include
Assist in financial data entry, budget tracking, and expense management.
PAYE via Ajilon - Circa £55,000 per annum 5% utilisation bonus and additional benefits including; Pension contribution, medical cover, training & development, discounts on big brands & many more
Posted by Lord Accounting & Finance • £400/day to £500/day
As the Interim Finance Director, you will provide strategic leadership and "hands-on" financial management during an important period of growth and change ensuring the company's financial health.
Key responsibilities will include cash flow management, budgeting and forecasting and driving the continuous improvement of financial systems, processes, and cost efficiencies.