Senior Client Analyst - Entitlements & Tax Support I year interim contract Central London - £500 per day Umbrella Hybrid working
Reed Talent Professionals are partnering with a global asset servicing organisation, based in Central London, in the search for an Interim Senior Client Analyst to join the Entitlements and Tax Support team.
They are based in the financial district in Liverpool Street and offer hybrid working.
Our client is looking for an experienced Finance and Payroll Administrator to join their Finance Team.
The successful candidate will provide administrative support to the to support their financial management and ensure accurate, timely processing of Company payroll, incoming invoices and outgoing payments.
The ideal candidate will have a minimum of three years experience in accounts, experience of payroll systems and intermediate Microsoft Office Skills.
Provide senior administrative support, including document management, stakeholder coordination, and meeting organisation to ensure the smooth operation of casework.
Join our client and assist the Cases Unit in upholding high standards of administration and justice within a leading professional regulatory body!
If you have a strong background in international tax and a passion for driving efficiency, we'd love to hear from you!
We are looking for Group Tax Specialist to play an integral part within a team on an Interim basis, where you will be managing and optimizing tax compliance across multiple jurisdictions.
You'll be responsible for ensuring accurate tax reporting, identifying cost-saving opportunities, and providing strategic tax insights to support our business growth.
Positive Employment is currently recruiting for a Senior Accountant for our client a local government organisation based in Haringey.
The successful candidate will support the Head of Pensions and Treasury in the provision of accounting and reporting services for the authority's pension fund and treasury management functions including the preparation of pension fund annual accounts and treasury management notes to the organisation's statement of accounts.
The post holder will support the organisation's day to day pension fund and treasury management activities including daily cashflow management and providing the necessary instructions and information to treasury advisors and pension fund service providers including the fund's investment and actuarial advisors.