We are seeking a skilled Finance Assistant to join our team, supporting our housing client in Sutton.
As the Finance Assistant, you will play a crucial role as the first point of contact for both internal and external customers regarding financial matters.
Your primary responsibilities will include effectively managing customer inquiries, providing administrative support to the Finance Team, and ensuring efficient and timely invoice processing.
Responsibility for analysis of income, production of gift aid schedules, all aspects of the purchase ledger, ownership of petty cash, and supporting with month end postings and procedures for both the Charity and the Trading company.
Responsibility for analysis of income, production of gift aid schedules, all aspects of the purchase ledger, ownership of petty cash, and supporting with month end postings and procedures for both the Charity and the Trading company.
Responsibility for analysis of income, production of gift aid schedules, all aspects of the purchase ledger, ownership of petty cash, and supporting with month end postings and procedures for both the Charity and the Trading company.
Award winning company based in Southwest London have a new and exciting opportunity for a part qualified or qualified (ACA, ACCA or CIMA) assistant accountant to join the account team on a permanent basis.
Office based, 8:30am to 5:30pm
Working in amazing modern offices in Southwest London with lovely social open plan facilities.
Our client an International market leading business is recruiting for a Graduate Finance Assistant to join the team based in Sutton, Surrey, Hybrid Working Available
Our client an International market leading business is recruiting for a Graduate Finance Assistant to join the team based in Sutton, Surrey, Hybrid Working Available
As the Graduate Finance Assistant you will be responsible for
An exciting opportunity has arisen for a detail-oriented and driven Assistant Accountant/ Finance Analyst to join a dynamic team within a growing global organisation.
Responsibility for analysis of income, production of gift aid schedules, all aspects of the purchase ledger, ownership of petty cash, and supporting with month end postings and procedures for both the Charity and the Trading company.