Search Results: 912 vacancies
...Main purpose of the role:
Ensure the cash office operates efficiently and effectively at all times and ensures cash is secured and balances correctly.
The ideal candidate will have/be:
- 1 years` experience in a cash handling role is desirable
- Excellent numerical...
...The Cash Office & Invoicing Supervisor will report to the Accounting Manager in Calor Gas's head office based on the Long Mile Road, Dublin 12.
This is a permanent full time role and will be office based.
The primary purpose of the role is to ensure prudent and necessary...
...Clearstream Banking AG
Clearstream Banking S.A.
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Analyst - Funds Operations - Cash Management
Join ourinternational team that drives positive change, united by a spirit of openness and curiosity. We empower you to...
LOCATION: Home » Knowledge Centre » Travel Between the UK and Ireland: A Guide for British and Irish Citizens
Travel Between the UK and Ireland: A Guide for British and Irish Citizens
In a previous blog post , we explained travel from Ireland to the UK for non-visa nationals...
...12M FTC
Responsibilities:
Prepare monthly management accounts, encompassing all elements of the income statement, balance sheet, cash flow, and capital reporting.
Process payroll on a weekly and monthly basis.
Manage suppliers, including the preparation of weekly...
...journal entries - prepayments, accruals, deferred income) & monthly management accounts, including balance sheet, income statement, and cash flow statement.
Financial Analysis: Conduct thorough financial analysis to identify trends, variances, and opportunities for...
...products for credit cards
o Virtual and/or real card issuance and controls
o Experience at or integrating with a credit card processor
o Developing API-based product roadmaps
• Proven ability to lead in a matrix environment.
• Can deliver high quality products...
...individual career paths and thrive within our business.
Key Responsibilities
Responsible for maintaining high credit control and cash handling standards
Monitoring and control of our Sales Ledger accounts
Management of credit limits and outstanding payments
Customer...
...the wider Leinster region.
This a great opportunity to take ownership of the following:
Managing the finance function
Ensuring cash flow and short-term cash projections are accurate
Consolidated accounts preparation
Ensuring accurate Payroll
The ideal...
...supplier contacts and payments, monitoring of bank accounts, management of supplier/subcontractor accounts, along with assisting with the cash flow and planning tasks.
Key Duties and Responsibilities:
Process payments to suppliers as per agreed terms to maintain continuous...
...GlennonEUROSPAR Group require a Full-Time Cash Office Manager to join their amazing team in EUROSPAR Ballymun.
Role:
To ensure the cash office operates efficiently and professionally in line with the Company standard operating procedures. Compiling store reports and carrying...
...Responsible for accruals and prepayments
Responsible for ensuring the successful day-to-day finance operations including employee expenses, cash management, monthly payroll
Liaise with external auditors and statutory reporting.
Be a leader in implementing continuous...
...Finance Administrator - Cash Allocations
Retford
PIB Group
Full time
Permanent
Are you an experienced Administrator looking for a new challenge? Do you want to work for a company that values its employees and provides great benefits? If so, we want to hear from...
...does not exceed corporate standards.
Build and manage relationships with key Brokers to fast-track premium collections and unleash cash for reinvestment.
Enhance Customer/Broker/Distribution partners experiences with quality data reconciliations to reduce queries, customer...
...accounting system through continuous process improvement.
- Prepare and analyse financial statements, budgets, and forecasts
- Manage cash flow and monitor financial performance
- Oversee accounts payable and receivable processes
- Coordinate with external auditors and...
...in Verilog
QEMU internals
Verilator
QuestaSim or other commercial RTL simulation tools
Knowledge of embedded systems and processor architectures
Good communication and problem-solving skills
Experience working with Git and Continuous Integration tools (...
...- Minimum 2 years` experience in a management position;
- Good knowledge of Microsoft Office (Excel, Word);
- Experience balancing cash/tills;
- Excellent communication skills;
- Good delegation skills;
- Highly driven with a strong work ethic;
- An understanding...
...professional growth. Become a valued member of our team, where you can act with purpose and thrive in your own way.
The Role:
Daily cash and liquidity management, and treasury closing
Ensure accurate maintenance of bank accounts, cash-pools, bank and treasury systems...
...mates will ensure everyone has a great time in a safe and clean environment.
Responsibilities include but are not limited to:
Cash Handling
Food Handling (Including Stock Replenishment)
Cleaning
Heavy Lifting
Compliance with Health and Safety...
...Production of Weekly and Monthly Management reports & Statistics
Production of Monthly Management Accounts file with P&L, Balance Sheet and Cash flow statement on Group used format
Submissions of all returns
Budgeting and Forecasting
Reporting to and supporting the...