St. Albans, Hertfordshire, South East, United Kingdom
St Albans City & District Council
to support system upgrades, ensure compliance, and troubleshoot finance systems. You'll work with stakeholders to resolve issues and enhance financial control. Key responsibilities include building financial reports, maintaining generalledger systems, and providing technical support for merchant banking systems. Strong Excel skills and experience in financial system management are essential. Join our team to make a real … You may also have experience in the following: : Developer, Analyst, Programmer, Programming, .Net, CT Developer, Technical Delivery, Software Analyst, Software Developer, ICT Analyst, Finance System Management, Financial Administration, Financial Ledger systems, Direct Oracle, NetSuite, Workday Adaptive, Software Maintenance etc. REF More ❯
Cambridge, Cambridgeshire, England, United Kingdom Hybrid / WFH Options
Michael Page Finance
match to purchase orders Reconcile supplier statements and resolve discrepancies Prepare and process weekly and monthly payment runs Assist with bank reconciliations and cashbook maintenance Post journals and maintain generalledger entries Support month-end close and reporting activities Manage employee expenses and corporate card reconciliations Assist with VAT returns and compliance checks Liaise with internal departments and More ❯
Hemel Hempstead, Hertfordshire, South East, United Kingdom Hybrid / WFH Options
Eckoh PLC
Client. Sale report updates monthly for billing. Monthly sales reconciliation, posting revenue arrangements on NetSuite. Monthly meeting with the project management team to ensure revenue recognition is correct. Prepare generalledger journal entries and supporting documentation. Manage and post the project hours submitted by individuals for the UK. Participate in processing, raising recharges and reconciliation of Intercompany, including … all transfer pricing cross charges. Responsible for: posting UK payroll journals; fixed assets ledger; and assigned Balance Reconciliations. Prepare Contact Centre Pay Analysis reporting. Execute monthly Management Accounts, ensuring that the required analysis is included to understand the underlying financial performance. Prepare monthly UK Client Profitability reports and identify key trends to feed back to the business; and into More ❯