- Management and oversight of the purchase ledger and expense processing
- Controls and reporting of AP
- Managing and monitoring a small team.
- Management and oversight of the purchase ledger and expense processing
- Controls and reporting of AP
- Managing and monitoring a small team.
- You will have previous experience in supervising an accounts department.
- Hold a bachelor's degree or have equivalent experience.
- Be fully ACCA, ACA, CMA qualified or equivalent.
- Have excellent communication skills with the ability to engage a variety of audiences.
- Significant experience in general bookkeeping and accounts experience, including managing ledgers.
- Experience of working in a customer facing environment and providing good customer service
- Experience with, and knowledge of different software packages including Microsoft Office and Sun Accounts
Accounts Payable Manager - United Kingdom - R3vamp
Description
Accounts Payable ManagerInitial 3-month assignment, with a view to extend.£26 per hourCentral LondonMust be immediately available
21st March, 2024
Accounts Payable Manager
Initial 3-month assignment, with a view to extend.
£200 per day
Central London
Must be immediately available
About the role
Our client is Central London based technology organisation seeking a temporary Accounts Payable Manager who will play a crucial role in the management of a number of individual company purchase ledgers; encompassing; ledger entries, managing month end closure, bank reconciliations, assisting cash flow reporting and provide support to the Associate Finance Director as required.
Role includes, but is not limited to:
21st March, 2024
Accounts Payable Manager
Initial 3-month assignment, with a view to extend.
£200 per day
Central London
Must be immediately available
About the role
Our client is Central London based technology organisation seeking a temporary Accounts Payable Manager who will play a crucial role in the management of a number of individual company purchase ledgers; encompassing; ledger entries, managing month end closure, bank reconciliations, assisting cash flow reporting and provide support to the Associate Finance Director as required.
Role includes, but is not limited to:
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