Our client is seeking a Reconciliation Clerk to join their young and vibrant team, on a temporary basis, for a period of 6 months, potentially leading into a permanent role. You will be responsible for the day-to-day financial reconciliations for a portfolio of clients in which duties will include: daily reconciliations of various bank accounts, checking client payments and preparation of control account reports at month end. This role would suit a candidate who has the ability to work under pressure in a team environment along with exceptional attention to detail. Experience with Sage accounting package would be advantageous.
Our client is seeking an individual with previous accounts payable experience to join their team, on a temporary basis, during July and August 2019! As an Accounts Payable Administrator you will cover accounts payable, as well as supporting with billing and general office administration. This is a fantastic opportunity to gain experience working for a leading employer.
A leading wealth management firm is seeking a Bookkeeper to join their busy team, on a temporary basis for a period of 2 months. You will be responsible for maintaining accurate and timely client financial records, ensuring client service excellence is delivered. Your main duties will include producing and managing communication requests, undertaking other administration tasks and providing cover as required, as well as liaising with Custodians in reconciliation, Managers and Administrators. A professional qualification such as AAT or similar would be an advantage, but suitable candidates may be qualified through relevant or similar industry experience.
Do you hold a Bookkeeping or CAT / AAT accounting qualification? If so, our client is seeking an Assistant to join their Finance team on a temporary basis, from July until September 2019, to provide financial and administrative support to management, budget holders and staff. Duties will include preparing financial reports and Treasury returns, month end accounts preparation, checking, preparing and reconciling accounts and registers, as well as preparing balance sheet reconciliations, and gathering relevant evidence. This role would suit a candidate who has the ability to work both independently and as part of a team, and possesses excellent organisational, communication and IT skills.