Banking jobs in the UK cover a spectrum of roles within financial institutions, including retail and investment banking. Professionals work in areas such as finance, risk management, customer service, and investment analysis. Key skills involve financial acumen, analytical abilities, and customer relationship management. The industry is highly regulated, requiring compliance and adaptability to market changes. Challenges include intense competition and the need to stay updated on financial trends. Despite these challenges, banking jobs offer substantial career growth and contribute significantly to the UK's financial sector, playing a crucial role in economic stability and financial services.
279 Jobs Found for Huntress Key Accounts in Chalk Farm
Finance Officer - 6 month FTC Salary: 36,000 per annum Working arrangement: 1-2 days a week on site (London) Holiday: 26 days annual leave (pro rata) About the client Morgan Law is seeking a Finance Officer for a Charity in the London area. Accountabilities Lead the day to day operations of the sales ledger function Responsible for ensuring i...
Our client being an insurance brokers based in East London are looking for a Finance Controller to manage all aspects of credit control and bookkeeping for two in house delegated authoirty schemes. Will be dealing with BACS advices received relating to Direct Debit amendments, cancellations and unpaid monthly premiums, settling and posting company...
This leading City based bank have an outstanding opportunity within their busy Property Finance operations team. This role will suit a recent A level school leaver, someone who has recently left university, or an individual who has gained a modicum of banking experience wishing to embark upon a career within banking Operations. Full training will b...
We are looking for a qualified/part qualified or experienced finance manager who has at least 3 years experience in an accountancy position. You will ideally have already completed the AAT qualification or similar. Must be well organised, motivated and have good computer skills. Prior use of Excel and Sage is essential. This is an office based po...
Reinsurance Credit Controller Industry: Insurance London (Hybrid Model) £60,000 Role Purpose Act as a key partner for Underwriting and manage critical trading relationships. Ensure reinsurance contracts are accurately reflected in systems, monitor premium settlements, and manage credit control and cash collection. Provide performance reporting, ...
Choralis Consulting have instructions to recruit an Accounts/Finance Manager (Netsuite support) The company:- is one of the most successful new energy business's in the world. The company generate revenues in excess of £1b and have operations all over the world incl: the US, Australia, mainland Europe and the UK. The role:- is to support the Head...
Marc Daniels are urgently seeking a Credit Controller for a market leading company in Central London This role offers hybrid working (1-2 days a week in the office) This is a 6 month fixed term contract which comes with a market leading pay rate. Please get in touch ASAP if you have 2 years+ experience in Credit Control Responsibilities: Work...
Title: Head of Internal Audit & Risk Location: London, hybrid (3 days WFH) Salary: £110,000 - £120,000 + bonus and benefits The company: Our client, a multinational Shipping (bulker/tanker) group, is looking for an experienced Head of Internal Audit & Risk to join their Finance team based in London. The individual will be leading a dynamic and ...
An exciting opportunity for a Supply Chain Finance Analyst has arisen to join a highly reputable FMCG company based in London/Milton Keynes. You would play a key role in driving data-driven decision-making and financial performance across the supply chain operations. This is a fantastic opportunity to work in a collaborative environment with stron...
This role will be based in their London Accounting department in their Tax and Partnership team, reporting into the Tax Manager. Key responsibilities: Providing tax compliance and advisory services to the partners and the firm. Calculations of partners tax reserves. Assist with the calculation of firm's cash flow forecasting in relation to tax ...