£ 1,477 - 2,614 per month
Job Description:
- Teaching hours: up to 20 hours per week
- Contract length: 10 or 22 months
- Teach students ages 7 to 18 years old
- Working hours from 8:00 am to 5:00 pm
-Monday to Friday classes with evenings and weekends off
-Deliver learner centered, engaging lessons ...
...monthly financial reporting
Liaise with multiple department heads
Bank reconciliation
Assistant Financial controller with budget & audit reviews
Weekly payroll
Assist with the AR/AP function where necessary
Management of stock price files for retail stores...
...Financial Controller
Monthly review of the balance sheet, ensuring reconciliations are performed and ensure that all balances are understood and... ....
Overseeing of weekly payroll.
Assist with the AR/AP function where necessary.
Oversee & review the income audit function...
...Processing purchase invoices.
~Raising and issuing sales invoices.
~Reconciliation and posting of credit card transactions.
~Management and... ...Account’s Assistant
~Qualified Accounting technician or similar.
~AP and AR experience
~Excellent IT skills with confidence in using...
...new realities of German turnover in the re-org.
· Undertake a forensic audit of Germany accounts - P+L, cash reconciliation, Balance sheet with focus on AR & AP, tax balances esp. VAT and payroll taxes.
· Transfer German accounts system to QuickBooks as per Ireland P+L....
...Are you looking for an opportunity to work in a public sector position for six months and grow your AP experience within a busy finance function? My client is based in Galway city and searching for 1-2 new individuals to support his team on a contracted basis through Hays recruitment...
...Month Contract - Onsite - South Galway
Responsibilities:
Process Non PO invoices
Process PO invoices in Kefron
Statement Reconciliations
Processing of Visa inputs & statements:
Excise Duty returns to Revenue
Tax Clearance
Set up on Transac
Assist with...
...and efficient manner:
Preparation, analysis and posting of journals at month end.
Preparation and analysis of balance sheet reconciliations at month end.
Calculation, posting and analysis of monthly accruals and prepayments, ensuring that all items are accurately...
...in producing month-end management accounts, year-end statutory and tax returns, managing the external audit process and supporting the AP/AR and payroll functions. You will also gain exposure to elements of FP&A, supporting the FC by playing a role in formulating the budgeting...
€50k - €60k per annum
...~Work in conjunction with the General Manager & Group Financial Controller.
~Monthly review of the balance sheet, ensuring reconciliations are performed and ensure that all balances are understood and justified.
~Assist in Audit Preparation and Reviews.
~Assist...
...service.
~Returns – Manage the depots returns & to keep them within agreed % targets, as specified by the Regional Sales Manager.
~Reconciliations – to ensure all stock from delivery to sales are reconciled and are properly accounted for at all times.
~Rotas – Manage the...
...sending of fund invoices / cash instructions.
Ø NAV impact analysis and justification
· Monitoring all cash and security reconciliation items on a daily basis.
· Ensuring all agreed reporting is completed & sent to the client.
· Attendance and...
...and efficient manner:
Preparation, analysis and posting of journals at month end;
Preparation and analysis of balance sheet reconciliations at month end;
Calculation, posting and analysis of monthly accruals and prepayments, ensuring that all items are accurately...
...finance team to drive benefits from the RAR implementation
Support the preparation of the RAR related system related account reconciliations
Ensure SOX related RAR application controls are performed
Ensure documentation relating to RAR is maintained
Be a key part...
...accurate posting, management and review of month end close and accounting transactions; P&L and balance sheet account analysis, review, reconciliation & resolution
The development of strong relationships with direct and indirect stakeholders
Act as a champion for the Shared...
...accurate posting, management and review of month end close and accounting transactions; P&L and balance sheet account analysis, review, reconciliation & resolution
The development of strong relationships with direct and indirect stakeholders
Act as a champion for the Shared...
...to support ASC 606 Accounting and strong understanding of SAP sales distribution module
Maintain controls over Revenue Account reconciliation activities including monitoring & evaluation of any reconciling items being reported at period ending.
Ensuring adequate reconciliation...
...role
A portfolio of published articles or content assets
Preferred Skills
Familiarity with AI, AI tools and AI prompting is a plus
Familiarity with CMS systems, basic graphics tools and social channels is a plus
Knowledge of AP Style is a plus
#J-18808-Ljbffr
...working on accounts payable and receivables to ensure they are maintained in an accurate and timely manner.
Oversee creditor reconciliations and that the administration of the purchasing system is maintained.
Playing a key role in the monitoring of internal...
...opportunity to learn and progress in their career.
Duties and responsibilities include;
Manage and allocate bank payments daily, reconciliation of bank accounts
Processing receipts, debits, credits & transfers on accounts package
Account reconciliations, customer...
...good analytical skills.
Preparation of Monthly Management Accounts (P&L, Balance Sheet, Cash Flow Statement)
Balance Sheet Reconciliations & Nominal Accounts Analysis
Maintenance of the Fixed Asset Register
Preparation of Cost Centre/Departmental Reports
Monitoring...
...Same day system input of inbound material
Daily Pick / Pack and dispatch of outbound material
Warehouse cycle counts and stock reconciliation
Maintain off-site stock storage list including equipment
Light manufacturing duties
Forklift Operation
Maintain a safe...
...required as will be dealing with various client accounts.
Responsibilities:
Irish Payroll experience
Irish VAT
RCT
Reconciliation of Debtors, Creditors, Bank account, VAT Control account and PAYE Control Account
Preparation of Sole trader Accounts to Trail...
...journals.
Calculation, posting, and analysis of monthly accruals and prepayments.
Preparation and analysis of balance sheet reconciliations at month-end
End-to-end ownership, review, and reconciliation of inter-company accounts across the group
Responsibility for...
...analytical reporting. You’ll be involved in monthly and quarterly accounting close cycles, as well as assisting with preparation of reconciliations and related analysis of assigned revenue/cost of sales accounts monthly. You’ll work closely with the Revenue Accounting team as...
...technical expertise and payroll processing. You will be responsible for bonus and commission calculations, payroll journal postings, reconciliations, tax filings and statutory payments with ongoing process improvements which you will contribute to.
Work with an employer of...
...RESPONSIBILITIES:
Assisting in the preparing of the monthly management accounts for the group including preparation of month end reports, reconciliations, and reports preparation
Ensuring a comprehensive month end file is prepared and reviewed to support all balances held at the...
...Compliance and Reporting.
Preparation, analysis and posting of journals at month end.
Preparation and analysis of balance sheet reconciliations at month end.
Ensure compliance with corporate policies and accounting standards.
Enhancement of existing processes and...
...posting journals.
Calculating, posting, and analyzing monthly accruals and prepayments.
Preparing and analyzing balance sheet reconciliations at month end.
Reviewing and reconciling of inter-company accounts, involving communication with other HID Global business....
...entities into this new team. Working with similar teams globally to enhance the end to end intercompany processes and streamline reconciliations globally.
Key Requirements
Strong Intercompany experience – preferably with Shared Service Centre or multinational corporation...