And it means we prioritize a diverse F5 community where each individual can thrive. Powering and protecting applications We empower our customers-the world's largest enterprises, service providers, financial and educational institutions, government entities, and consumer brands-to create, secure, and operate applications that deliver extraordinary digital experiences. Overview of EMEA Technical Support Engineer role Do you enjoy problem More ❯
European locations. Serve as the main point of contact for office-related operations, ensuring consistency, efficiency, and compliance. Manage vendor relationships, service contracts, and office budgets in collaboration with finance and procurement. Health & Safety Oversight: Ensure compliance with health and safety legislation across all European jurisdictions. Lead implementation of risk assessments, incident reporting, emergency preparedness, and staff training programs. Coordinate … operations. Ensure compliance with local vehicle laws, insurance, maintenance schedules, emissions regulations, and leasing agreements. Track and manage fleet usage, fuel efficiency, costs, and reporting. Collaborate with procurement and finance teams to evaluate vendors and implement cost-saving initiatives. Promote sustainability and safety initiatives within the fleet strategy. . Personal Attributes: 5+ years of experience in office management, operations, or More ❯
accurately. Requirements: Time-served Engineer with City & Guilds/NVQ Level 3 or higher in Electrical or Mechanical discipline. Proven experience in a critical environment such as data centres, financial institutions, or healthcare. Strong knowledge of building services systems, ideally with HV/LV experience (HVAP desirable). Confident leading a team in a fast-paced, high-pressure environment. Strong More ❯
b9fa50c1c3a0 Job Views: 4 Posted: 29.06.2025 Expiry Date: 13.08.2025 col-wide Job Description: Key Responsibilities: Process payments, invoices, and receipts; enter data into databases, and file hard copies. Prepare financial statements for managerial review. Organise expenditure files for presentation to clients. Verify weekly expenditure for accuracy and report discrepancies. Ensure all receipts are properly accounted for and assigned to clients. More ❯