...Ireland.
We offer
~ Hybrid work model: you have to live in Limerick, but you can work from home most days
~30 days annual leave (paid vacation)
~ Career development opportunities (they promote from within and you can become team leader, trainer in Chinese department,...
...improvement.
Develop annual and monthly financial budgets, along with cash flow projections.
Periodically prepare Rolling forecasts for P&... ..., and leadership training programmes.
Family leave : fully paid maternity, parent and paternity leave, allowing you spend precious...
.... If you are interested, please email
Key Responsibilities :
Accounts Payable and Accounts Receivable
Bank reconciliations
Cash reconciliations
Adhoc duties when required
Requirements:
Available for an immediate start
Minimum 2 years’ experience in a...
...system, Dynamic D365
Preparing and timely output of monthly lease rental invoices and supplemental rent invoices
Allocating of daily cash against transactions
Ad hoc invoicing such as commitment fee invoicing, sales invoicing, spare parts, credit notes etc....
...In the absence of management, responsible for opening and closing the store, end of day recovery, deliveries, stock management and cashing up at the end of the day.
· Assign tasks to staff and ensure correct procedures are followed
· Ensure every customer to our stores...
...(KPIs)
Recruit, train, coach and manage staff in line with company policies, ensuring fairness and consistency to all.
Manage all cash, wage costs, budgets and systems administration as required (TMS, SAP, etc)
Drive excellent Visual Merchandising in store to engage,...
...this regard.
To requisition for stock necessary for each day’s business, to display it and set it up for service.
To use the cash register in accordance with Company cash handling procedures.
To wash and dry all dirty glasses as required, and have all glasses...
€17 per hour
...preparing payment runs
Accounts Receivable: issuing invoices, posting payments, and following up on outstanding balances
Dealing with cash receipts: reconciling cash deposits, preparing bank deposits, and recording cash transactions
Bank Reconciliations: ensuring...
€75k - €80k per annum
...presentation of timely monthly accounts including profit & loss, balance sheet and reconciliations, bank reconciliations statement and cash flow statement projections for the Management and Shareholders.
● Preparation and presentation of year end accounts for the management...
...KPIs).
Recruit, train, coach and manage staff in line with company policies, ensuring fairness and consistency to all.
Manage all cash, wage costs, budgets and systems administration as required (TMS, SAP, etc)
Drive excellent Visual Merchandising in the store to...
...sales assistant you will have the chance to offer customers a high level of service by starting conversations, selling products at the cash desk, fitting rooms and on the shop floor, processing deliveries, stock replenishment and merchandising the latest garments on the shop...
...check, and stock deliveries Ensure cleanliness of store fixtures and fittings when required Maintain a high level of security for both cash and stock Stock room maintained correctly Complete stock counts and audits, as necessary Compile orders from suppliers, as required...
...store is meeting targets and earning profits.
Managing the budgets and revenue for the store
Being responsible for handling the cash for the store and reporting any discrepancies
Maintaining store staff by recruiting, selecting, and training new staff when required...
...be required
~ Flexible in relation to hours/days of work, including weekends.
~ Be comfortable using computerised equipment such as cash tills and stock systems.
~ Must have a full driving licence with own transport.
Principle duties and responsibilities:
To be...
...and stock deliveries
Ensure cleanliness of store fixtures and fittings when required
Maintain a high level of security for both cash and stock
Stock room maintained correctly
Complete stock counts and audits, as necessary
Compile orders from suppliers, as required...
...in-coming calls and re-directing as appropriate
Managing patient appointments
Meeting & greeting all patients to the Practice
Cash handling and issuing of receipts
Maintaining GMS records
Preparing prescriptions
Scanning and filing
Any other duties assigned...
...Coordination of works throughout the project phases to ensure successful delivery.
Budget management (including cost control and cash flow forecasting) associated with the project.
Provision of accurate reporting of progress against quality, performance, time, and cost...
...holdings manager exposure data
Benchmark data
Responsible for preparing investment reconciliations. Includes reconciliation of cash, positions, performance, transactions, alternative investment metrics (unfunded commitment, etc.).
Responsible for initial review...
...and stocktaking activities.
Coordinate with Warehouse and Yard staff to fulfil incoming orders efficiently.
Reconcile tills for cash and credit card transactions when required.
Assist with other operational tasks as needed to support the smooth functioning of the...
...per procedure and in a timely manner.
Accurately process bets through the EPOS System.
Ensure that all procedures are followed.
Cash management.
Keep shop standards to a high quality.
Adhere to Social Responsibility duties.
Requirements:
Must be over the...
...Responsibilities for this role include:
Greet all customers who enter the Branch
Process payments and withdrawals, working within the cash desk, lodgements and general day-to-day banking errands.
Help customers to set up and maintain accounts
Deal with calls, emails,...
...Alternative Assets team works to provide value to clients through investment in assets outside the traditional realm of stocks, bonds, and cash. This involves the coordination of various teams, the servicing of clients and fund managers, and the application of Northern Trust’s...
...before team members visit the site (in consultation with the relevant divisional lead e.g. Lead Ecologist or Senior Hydrogeologist)
Cash flow management based on project deliverables and projected (accurate and reliable) invoicing dates in respect of those deliverables and...
€33.7k per annum
...Nationwide
• Life Insurance/Death In Service Cover which covers two times your annual salary
• Employee Referral Cash Incentive Scheme
• Bike to Work Scheme
• Free Garda Vetting
• Free Uniforms
Apply...
...measured against both collective (departmental) targets and individual and firm-wide objectives, including FCR, Billing, Net Fee Income, and Cash collection.
You will be responsible for nurturing staff through mentoring, training, and ongoing support.
Engage directly in...
...providing general financial and accounting assistance to the financial department.
Key Responsibilities:
Preparing payroll for weekly paid employees and related support activities (BIK, Pension, Union etc.,).
Dealing with any queries in relation to payroll and the...
...trades are captured - this is both an automated and manual process and includes sending reports regularly .
Handle prediction reports, cash reports, and register reports and all relevant client reporting on a daily basis.
Take ownership of all activity for your assigned...
...skills.
Benefits:
Competitive salary
Monthly Performance Bonus
Maternity pay and paternity pay benefit
Professional fees paid
Guaranteed CPD hours
Generous staff discounts in-store
Additional service days
Sick Pay
Excellent referral scheme
Tax...
...for approximately 6 months.
A Valid Manual Handling and Safe Pass is an essential requirement.
Salary and Hours:
~€14 per hour (paid weekly)
~ Monday to Thursday 8am – 5pm, Friday 8am – 4pm
~ Overtime may be required
~ PPE will be provided (excluding safety...
...application. You will watch a short video on Maverick Trading and its Capital Sharing Program that details how you get both funded and paid.
You’ll then fill out the rest of the application. After you submit it, one of our recruiters will contact you for an interview where...
Remote job