Posted by Pinpoint Resourcing Ltd • £30K/yr to £40K/yr
General
This role will directly support the Revenue Manager.
Pinpoint Resourcing are currently working with large media business who are based in Liverpool Street to source an Assistant Revenue Accountant.
Duties
Review contract creation and amendment forms in conjunction with client agreements or other forms of evidence to ensure compliance with revenue recognition guidelines.
Posted by Page Personnel Finance • £30K/yr to £35K/yr
A Revenue Assistant is required to join a professional services firm within the accounting and finance department, providing integral support and efficiently managing financial transactions.
This organisation is a leading player in the professional services sector, boasting a substantial workforce.
With a strong commitment to excellence, they consistently deliver top-notch services to an impressive list of clients.
Posted by Financial Divisions • £22K/yr to £27K/yr
Due to their success, they are now looking to offer this excellent opportunity to a dynamic and talented individual with accounts experience gained within Financial Services.
C £27k Bonus Share Scheme, 36 days holiday including bank holidays.
My Client is a highly respected and well-established wealth management firm based in newly refurbished offices based in the City.
Responsibilities of the Revenue Accountant/Senior Sales Ledger Role:-
A well respected Service Group based in Central London are now looking for a Revenue expert to join the team for a 12 month contract, reporting to the Head of Finance and working very closely with the Finance Business Partners this role will be home based 4 days a week and office based one day.
As a Warrant & Revenue Account Manager you will be responsible for controlling the daily completion of the Rights of Entry warrants as they are served (executed), in line with various processes, policies and revenue recovery objectives.
Manage day-to-day planned warrant visits for all activity types such as debt, inspection and exchange.
The visits are carried out by our Field Representatives on behalf of Electricity, Gas and Water suppliers for the purpose of collecting any outstanding balance owed, disconnection of supplies, removal of meters, exchanging meters, the reading and inspecting of meters or data cleansing requirements.