fast-growing engineering business running the finance, administration and basic HR functions. Your adaptability, detailed records of financial transactions. Reconcile bank statements and financial ledgers (can be taught) reviews. Support the finance team with various administrative tasks. Office / HR duties Assist in maintaining information Support the contract management team with administrative tasks. Adhoc office related duties Salary:
fast-growing engineering business running the finance, administration and basic HR functions. Your adaptability, detailed records of financial transactions. Reconcile bank statements and financial ledgers (can be taught) reviews. Support the finance team with various administrative tasks. Office / HR duties Assist in maintaining information Support the contract management team with administrative tasks. Adhoc office related duties Salary:
professional with a strong background in finance, administration and have exceptional attention to detail? Our transactions. Account Reconciliation: Reconcile bank statements and financial ledgers. Identify and resolve Assist customers with transaction processing. Administrative Support: Assist in preparing financial reports reports. Support the finance team with various administrative tasks. Maintain organised financial records Support the contract management team with administrative tasks. Ensure contract documentation is complete
professional with a strong background in finance, administration and have exceptional attention to detail? Our transactions. Account Reconciliation: Reconcile bank statements and financial ledgers. Identify and resolve Assist customers with transaction processing. Administrative Support: Assist in preparing financial reports reports. Support the finance team with various administrative tasks. Maintain organised financial records Support the contract management team with administrative tasks. Ensure contract documentation is complete
Maintenance of lease register Reconciliation of bank accounts and cash book, credit card receipts and it remains within budget Monitor balances across bank accounts Monitor appropriate internal controls Prepare and release payments, verify new banking details, maintain banking records and signatory updates etc
Maintenance of lease register Reconciliation of bank accounts and cash book, credit card receipts and it remains within budget Monitor balances across bank accounts Monitor appropriate internal controls Prepare and release payments, verify new banking details, maintain banking records and signatory updates etc