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A rapidly expanding commercial business with presence across Europe is looking to recruit a German speaking Group Auditor. Working out of the London head office you will be required to travel extensively across Europe to locations in Spain, Germany, France, UK, Holland. You will be required to provide assurance and control measures that the revenue and cash systems are being...
This leading International Law Firm is looking for an International Accountant to join their office in London, with the opportunity to travel. Reporting to the Senior International Accountant, the crux of this role is to support the international accounting function to ensure the timely and accurate completion and distribution of international office accounts and balance sheets and to support finance...
Our client, a leading investment bank, currently seeks a Ledger Restructure Business Analyst, to be based in their London office. The Ledger Restructure Business Analyst will be focussed on supporting the coordination of work across the Finance Setup programme, focussing on the medium-term elements of the Ledger restructure and development of an MI strategy. The Ledger Restructure Business Analyst will...
The role is to span the data architecture needs across a number of the key workstreams within the Finance Transformation Programme. Programme management experience is needed in addition to the technical accounting and data architecture expertise. It is likely that this person will have implemented new financial systems in a blue chip environment. Role specific information: The Finance Lead Data...
Our client, a leading retail banking group, currently seeks a BoE Reporting Business Analyst, to be based in their London office. The BoE Reporting Business Analyst will be responsible for: - Analysis, business requirements production, functional specification and testing of changes relating to Simplification for BOE reporting - Reporting to the project manager and work closely with the BOE reporting...
This is an excellent opportunity for an established product controller with strong Correlation and Structured Credit experience to join the Structured Credit Product Control Team taking on responsibility for independent price verification and the calculation of fair value adjustments, reporting results and conclusions to senior management with recommended actions, liaising with quantitative analytics, and provide analysis of valuation models as...
The Financial Accountant will work closely with the senior financial accountant ensuring that the accounting records for the various entities under their control are complete, accurate and prepared in accordance with the relevant accounting standards. Key Responsibilities/Accountabilities * Perform the necessary month end checks and balances to ensure that the figures are recorded accurately and are complete. * Prepare reconciliations...
One of our Investment Management clients is looking to hire a part-qualified Accounts Assistant/Management Account to join their team. You would be expected to assist the Management Accountant and Purchase & Sales Ledger Accountant in the delivery of a cost efficient and timely finance service. MAIN RESPONSIBILITIES: Producing the monthly management account schedules and balance sheet reconciliations Assisting with month...
One of the most well respected investment banks with offices worldwide is seeking an intuitive and experienced Business Analyst to work within Product Control Projects. This is a unique opportunity to join a progressive and professional organisation with a truly global reach within the Financial Services sector. As a Project Business Analyst you will be part of the Cross- Asset...
The Company Robert Half International are currently recruiting for a Corporate Treasury Manager for a prestigious financial institution. The Role The successful candidate will be an experienced but hands-on individual looking to join an entrepreneurial firm and assume lead responsibility for managing the firms corporate treasury function. This is a newly created internal role.The successful candidate will take responsibility for...
An excellent opportunity has arisen to join a high profile UK law firm in a key management role within their finance team. Heading up the firms Legal Cashiering and AP function, the successful applicant will manage a team of 5, including supervising the day to day responsibilities of the team and developing team members. Previous supervisory experience within a legal...
Treasury Finance Manager Our client is a well known, mid-sized international banking group. They are looking for a Finance manager to join their treasury finance team. The successful candidate will be a qualified ACA (Or equivalent from audit) and will have some treasury product exposure, or will have worked in another treasury finance team. Job purpose To assist and support...
Financial Controller £80,000 - £90,000 + bonus + benefits City The Company They are a global U.S. banking group with a strong business model. The RoleReporting to the CFO, the role is a wide ranging financial control role with staff management and development responsibilities. You wil specifically be responsible for: * Financial controls for the Group; and internal and external...
Daily Duties will include: Cash flow Management · For the direct management of a minimum of 3 companies rolling 12-month cash flow forecasts, with input from Business Unit Finance Director, Shared Financial Services, Centralised and local departments. · Carry out analysis of actuals to forecast (daily and monthly) and understand where and why variances have occurred, to improve future forecasts....
This top 30 UK law firm has a vacancy for a Head Cashier to primarily supervise and manage the day-to-day operations of the client ledgers and the client ledger team whilst working within the relevant Solicitors Accounts Rules (SAR) regulations. The role will also take on a requirement to supervise and control day-to-day processing functions within the office ledgers such...