solutions that not only meet but exceed client objectives, prioritising scalability, performance, and security. Configure D365 Finance modules with precision, covering all facets from GeneralLedger to Cash Management. Candidate Profile: Demonstrated track record (5+ years) as a Solution Architect or Senior Consultant, with hands-on experience implementing … Microsoft Dynamics 365 Finance solutions. Deep proficiency across D365 Finance modules, from GeneralLedger to Cash Management, coupled with exceptional problem-solving skills. Strong analytical prowess, coupled with a drive to tackle complex challenges head-on. Possess relevant Microsoft certifications, such as MB-300: Microsoft Dynamics 365: Core more »
Job Description Record day to day financial transactions and complete the posting process Verify that transactions are recorded in the correct day book, suppliers ledger, customer ledger and generalledger Bring the books to the trial balance stage Perform partial checks of the posting process Complete more »
Job Description Record day to day financial transactions and complete the posting process Verify that transactions are recorded in the correct day book, suppliers ledger, customer ledger and generalledger Bring the books to the trial balance stage Perform partial checks of the posting process Complete more »
experience in Dynamics 365 or AX 2012 Finance and Accounting. • Experience in supporting and implementing financial systems solutions (i.e. budgeting, accounts payable, accounts receivable, generalledger, inventory management) • Process redesign experience • Strong analytical and creative problem solving skills • Strong interpersonal, written and verbal communication skills • Drive to research more »
need - Experience in Functional Development of Oracle R12 Supply Chain (OM, PO at least) packages, which should include some of - Accounts Receivable, Accounts Payable, GeneralLedger, Fixed Assets, Costing or Tax Manager. Any ASCP and/or Demantra experience would be excellent. Experience of providing support to a more »
of their management team. Prepare monthly review packs with appropriate narratives following a financial analysis of key trends and variances across Cost Centres and GeneralLedger Accounts to be presented to management meetings. Ensure all costs are recovered and charged to HPE Business Unit. Be dealing with a more »
our legal entities ensuring all checks are in line with IPG Revenue policy to ensure accurate Revenue reporting. • Reconciliation of revenue tracking to the General ledgers. • Completion of monthly balance sheet revenue related reconciliations for IPG reporting. • Shared Revenue Calculation and journals. • Communicate effectively within the finance team and more »