Market rate on contract - Leading to Salary £75,000
This team delivers the HR Service with passion and commitment providing a consistently great customer experience, making sure services are delivered optimally and within agreed service level agreements (SLA's) whilst meeting all policy and compliance requirements.
The work of the People Services Team, based in Epsom, Surrey is key to supporting stakeholders within the business and the HR function in all things HR Services.
Achieve payment of employee wages in an accurate and timely manner.
General
To ensure that the company Payrolls are processed accurately and on time; to ensure that statutory legislation and company procedures are enforced; to deliver a highly professional, customer-focused, Payroll service to a mix of bi-weekly and 4 weekly paid staff across 4 different payrolls; and to ensure that the team achieves exceptionally high standards by utilising both the Payroll and Time & Attendance systems to optimum efficiency.
Kenneth Brian Associates are working alongside a profitable family owned and long-established business providing Facility Management services.
The Payroll Manager (HYBRID) leads the Payroll Team, reporting to and supporting the People Operations Leader in delivering the payroll for c11,000 employees.
They will be accountable for and report to senior stakeholders on the service delivered by the payroll team.
Our client is a global organisation operating across multiple sectors.
Our client are seeking an experienced Accounts Assistant to join their team and to support the FC with; Purchase Ledger, Sales Ledger, Bank Reconciliation and more!
Kenneth Brian Associates are exclusively partnering with a highly successful and forward-thinking company based in the centre of Epsom to hire a part time accountant on a permanent basis.
This role will be office based and will require you to work upto 21 hours per week.
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.