jobs in Wednesbury WS10

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Page 1 of 74 jobs
£14 - £16 an hour
  • In order to be considered for this role it will be imperative that you have gained all round accounts experience, either in an all-encompassing role or in…
Butler Rose Ltd
Walsall +2 locations
£20,000 - £21,000 a year
  • You will be experienced (minimum 2 years) with a strong finance background.
  • Production of Weekly cash flow and weekly dashboard.
  • Is this right for you?
Sutton Park Group
Burton-On-Trent
  • Reconciling supplier statements and dealing with Supplier Queries.
  • Posting and allocating the daily cash book, monitoring and managing daily finance clearance…
EP Professional
Tipton +1 location
£20,000 - £25,000 a year
  • Dealing with account queries via email and telephone.
  • AAT qualified (level 2 or above).
  • Purchase ledger and sales ledger.
  • Able to use MS office.
Finance Recruitment Solutions
Birmingham +1 location
£26,000 a year
  • Day to day management of the sales and purchase ledgers.
  • Processing expenses, company credit cards and petty cash.
  • Duties will include (but not limited to):
£9,500 - £10,400 a year
  • This will be 16-20 hours a week Monday-Friday, may suite someone who needs to work around school hours.
  • I am currently recruiting for a part time Accounts…
Greenwell Gleeson
Birmingham +1 location
£20,000 - £25,000 a year
  • Accounts Assistant – PERM – Birmingham City Centre – £20-25K.
  • Greenwell Gleeson have been tasked with recruiting an Accounts Assistant for a property company in…
Athwal Resourcing
Dudley
£17,000 - £20,000 a year
  • Dealing with general enquiries from customers & suppliers;
  • Be AAT level 3 qualified (minimum) or completing Level 4;
  • Assist in cost centre analysis;
£20,000 - £25,000 a year
  • Confident to work in a busy, fast paced environment.
  • Assisting purchase ledger team in processing and matching of supplier invoices Cost reporting and support…
£18,000 - £20,000 a year
  • Chasing up outstanding monies from Customers.
  • Daily download of bank statements and posting of cash receipts of the system.
  • Bank Reconciliation of all accounts.
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