Our friendly client law firm in Hemel Hempstead is currently seeking a part-time Legal Cashier/Accounts Person for their Accounts Dept.
The main purpose of the role is to assist in the smooth running of the finance department/practice by attending to the various financial transactions arising from the work of the firm and its internal operation, whereby undertaking daily banking functions including bank reconciliations; the processing of client and office accounting transactions including postings; the control of designated client deposit accounts; bank transfers; preparation of cheques; credit control advice; purchase ledgers and preparatory work for the annual accounts; Supporting and preparing for SRA Audits;
Working on corporate statutory audits on behalf of a wide range of clients.
General
If you are an Accountant but looking for a little more than this role involves getting out to Companies and completing audits then this role may suit you.
Located in the heart of Hemel Hempstead, our client, a local and independent firm of Solicitors, brings a personal touch to property and private client work.
Their commitment to both staff and clients delivers a friendly and flexible workplace.
Their office near the town centre is easily commutable.
We are recruiting for registered Nurses (RGN, RMN, RNLD), Physiotherapists, Occupational Therapists (OTs) and Paramedics in Hemel Hempstead who want to use their clinical skills applied in a new way and benefit from the excellent work life balance and professional development that a career as a Disability Assessor can give you.
We are seeking those who have been working for a minimum of 1 year post-qualification and registration in the UK.
In this role you will grow your medical knowledge and work in a health and disability assessment role conducting holistic assessments with applicants of the Personal Independence Payment (PIP) benefit.
Are you looking for an opportunity to form an integral part of our UK Finance function?
As Head of Treasury and Account Receivable, you will be responsible for managing an onshore and offshore team tasked with the day-to-day operations of the Treasury department across the UK.
This will include oversight of all cash, debt, capex (working capital), forex risk management, administration, control and governance over the UK group treasury function.