Due to an increase in workload, they are looking to recruit an experienced Credit Controller to join them on a full-time Temporary basis over the next coming months.
Due to the urgency of this position, you must be available to start immediately.
Posted by Spencer Clarke Group • £400/day to £500/day
General
My client is a Local Authority in Surrey who are looking to appoint a talented Strategic Finance Business Partner on a Contract basis
The post holder will lead the Adult Social Care (ASC) Finance Service to provide a range of services including payments, debt recovery, client financial management and financial assessments for the councils ASC Service Users and / or their representatives.
Posted by Lloyd Recruitment Services Ltd • £24K/yr to £26K/yr
General
We are working with our local client, who are needing an individual to join their Financial Crime team, where you will support with all onboarding and administrative duties.
This role is to start a.s.a.p.
Do you have previous Financial Services, AML, Underwriting experience
Or do you have an interest and understanding of the above?
My client is seeking an experienced accountant who can hit the ground running and has an understanding of deferred income and double entry bookkeeping.
SF Recruitment are currently working with a rapidly growing service business based in Dorking, Surrey in the recruitment of an Interim Reconciliations Accountant.
This is an interim role that is an urgent requirement to assist with a backlog of balance sheet reconciliations.
Posted by Hays Specialist Recruitment Limited • £14.43/hr to £16.50/hr
The Finance Operations Specialist will work within the local finance team and will be responsible for preparing and processing accounting and payment transactions in accordance with established requirements within the sub-ledger and payment systems.
The Senior Finance Operations Specialist will also work closely with the wider business, Dealers and Manufacturers.
Key tasks will include coordinating daily processing of end customer payment transactions, manufacturer invoicing, commission calculations, reconciliations, and queries within agreed timescales with a strong focus on controls aligning to BNP control framework.
As a Finance Assistant, you will manage and post cash transactions, track and reconcile payments, handle internal transfers and invoice queries, and ensure accurate financial reporting and efficient month-end processes.
General
Tuesday and Thursday in the office and the rest WFH
Manipulating data from the bank extracts, posting the data to BACs sheets for Credit Controllers to have visibility of cash in.