that meet the client's needs while adhering to best practices and ensuring scalability, performance, and security. Configure D365 Finance modules, including General Ledger, Accounts Payable, AccountsReceivable, Cash Management, Project Accounting and Budgeting. Candidate Requirements: Proven experience (5+ years) as a Solution Architect or Senior Consultant … with hands-on experience in implementing Microsoft Dynamics 365 Finance solutions. Extensive knowledge of D365 Finance modules, including General Ledger, Accounts Payable, AccountsReceivable, Cash Management, Budgeting, etc. Strong analytical and problem-solving skills with a keen attention to detail. Relevant Microsoft certifications (e.g., MB-300: Microsoft more »
aware of the Service processes of AMS – Incident Mgt., Service Request Mgt., Problem Mgt., SLM SAP FI Configuration experience in the following: General Ledger, Accounts Payable, AccountsReceivable, Asset Accounting, Bank Accounting, Consolidation, Funds Mgt., Special Purpose Ledger. CO configuration: Product costing, Profit Center Accounting, Profitability Analysis more »
Sales list, One Stop Shop, and Intrastat filing. Responsible for improving input recovery from Business expenses. Sales Tax/VAT point of contact for AccountsReceivable/Accounts Payable and Credit Control teams. Balancing and posting corrections to the VAT ledger. Maintaining the ERP systems for VAT more »
Didcot, Oxfordshire, South East, United Kingdom Hybrid / WFH Options
Global Technology Solutions Ltd
and concise language to our clients * 1+ years Microsoft .Net development experience VB.net or C#, Web services and XML. * Knowledge/Understanding of ERP, Accounts Receivables or Credit Management * Ability to clearly document processes and technical subject manner and ability to liaise with technical and business colleagues * Confident and more »
Reading, England, United Kingdom Hybrid / WFH Options
Pure Human Resources Ltd
in diverse tasks that span financial management, HR, and office administration. Finance and Business Support Manager , the role: Handling all aspects of financial transactions – accounts payable and receivable as well as general ledger Ensuring accurate and timely reconciliation of all balance sheet control accounts (including bank accounts) Producing detailed monthly management accounts and other necessary financial analysis and reports Processing Payroll and looking after employee expenses Overseeing cash flow and working capital Maintaining compliance with financial and regulatory standards and sustaining stringent internal controls and adherence to recognised accounting standards and principles to safeguard financial more »