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Jobs in London

Virgin Money

Annual

City (EC3A 2DB)

Permanent

Business Unit: Group FinanceSalary range: £47,200 - £59,000 per annum DOE + benefits Location: UK Hybrid - Glasgow office 1 day per weekContract type: Permanent

Virgin Money

Annual

City (EC3A 2DB)

Permanent

Business Unit: CS&O Financial CrimeSalary range: £67,200 - £84,000 per annumLocation: UK Hybrid - Occasional travel to local hubContract type: Fixed Term Contract (12 months)

Virgin Money

Annual

City (EC3A 2DB)

Permanent

Business Unit: Customer Service & Operations Salary range: £64,800- £81,000 per annumLocation: UK Hybrid - with travel to Glasgow or GosforthContract type: Permanent

Virgin Money

Annual

City (EC3A 2DB)

Permanent

Business Unit: Customer Service & Operations Salary range: £64,800- £81,000 per annumLocation: UK Hybrid - with travel to Glasgow or GosforthContract type: Permanent

Virgin Money

Annual

City (EC3A 2DB)

Permanent

Business Unit: CS&O Financial CrimeSalary range: £67,200 - £84,000 per annumLocation: UK Hybrid - Occasional travel to local hubContract type: Fixed Term Contract (12 months)

Virgin Money

Annual

City (EC3A 2DB)

Permanent

Business Unit: Group FinanceSalary range: £47,200 - £59,000 per annum DOE + benefits Location: UK Hybrid - Glasgow office 1 day per weekContract type: Permanent

BDO UK

Annual

City (EC3A 2DB)

Permanent

Ideas People Trust

High Finance (UK) Limited

Annual

City (EC1A2)

Contract

Pricing Consultant (Actuary)

BDO UK

Annual

City (EC3A 2DB)

Permanent

Ideas People Trust

Spectrum It Recruitment Limited

100000 Annual

City (EC1A2)

Permanent

Excellent opportunity for a passionate Quantitative Analyst to join an excellent client's team based in central London. The successful Quantitative Analyst will join a small but very talented team and will be expected to interpret, filter, and analyse very large data sets whilst working closely with other analysts and developers click apply for full job

HAYS

50000 Annual

Ealing (NW106)

Permanent

Maintain accurate and reliable financial data across UK operations and consolidated entities in the US and JapanCollaborate with the Financial Controller and international teams in London, Washington DC, and TokyoSupport cash flow management and budgeting processesAssist in the preparation of consolidated financial accountsPrepare and manage cash flow statementsPerform trial balance analysis and take ownership of its accuracy.Review and post supplier invoices with the correct entity and cost code allocationReview employee expense claims and ensure proper approvals on supplier invoices.Create and post customer invoices and credit notesMonitor aged debtors and creditors, investigating and resolving outstanding balancesPrepare weekly supplier payment schedules and input into banking systemsPost month-end journals including depreciation, fixed assets, accruals, prepayments, and payrollComplete monthly bank reconciliations and analyse account variancesReview payroll and post to the nominal ledgerPrepare VAT returns for submissionAssist in the preparation of quarterly and year-end financial statementsSupport audit processes and provide required documentationAssist with Know Your Customer (KYC) procedures for shareholdersHelp register new investors and manage share certificatesSupport annual insurance processesHandle pension-related tasks

HAYS

Annual

City (EC1A2)

Permanent

Partnership Accountant Intl Law Firm London ACA/ACCA/CIMA Part-Qual Hybrid Working Your new company This is a leading international law firm with a strong reputation for excellence across insurance, commercial litigation, and regulatory matters. With offices spanning key global markets, they offer a truly international platform for legal professionals looking to work on high-profile, cross-border cases. The firm is known for its collaborative culture, structured career development, and commitment to diversity and inclusion. This position sits within the Group Partnership Accounting Team, a key part of the global finance function. The team oversees accounting and reporting for partner remuneration, payments, capital contributions, and other balances for over 400 partners worldwide. It acts as a central contact point for regional finance teams and partners. You'll be involved in all aspects of partnership accounts, with a focus on designated regions. The role requires strong organisational and analytical skills, attention to detail, and excellent written and verbal communication. You'll be working closely with senior stakeholders, including partners and finance teams across the global network. Your new role Involvement in completion of month-end partner-related processes and reviews;Review and reconciliation of partners' current accounts, tax reserves and capital accounts ensuring that any discrepancies are highlighted and corrected in a timely manner. This includes liaison with local finance teams to ensure day-to-day posting is accurate and timely.Summarising partner payment information to enable timely review and accurate cash flow projectionsPreparation of journals required partners' current accounts, tax reserves, capital accounts and drawings, including monthly accruals, year-end profit allocations and changes in capital.Maintenance of detailed partner profit sharing information for all partners throughout the year, including liaison with the appropriate business services representatives to ensure information is accurate and fully up to date.Forecasting, calculation and payment of partners' monthly drawings and distributionsAdministration of partner capital, including liaison with banks providing partner capital loansAssist in the preparation of annual partner statements (actual and budget), including reconciliation of partner balances between statements and the accounts systemRegular contact with partners, providing information and dealing sensitively and promptly with their queriesDevelop collaborative and robust working relationships with stakeholders across the UK and overseas officesPreparation of illustrative cash flow statements and performance of other administrative duties relating to lateral hire partners and retiring partnersSupport the Head of Global Partnership Accounts, Global Partnership Accounts Manager and the other members of the team with ad-hoc analysis and project workCritical review of processes and workflows, to identify limitations and opportunities. Working on a continuous improvement basis to streamline processes, enhance efficiency and quality; andResolve audit queries in relation to partner mattersWhat you'll need to succeed Part-qualified accountant (ACA/ACCA/CIMA or equivalent) is essential.Relevant experience in Partnership Accounting roles would be beneficial but not essential. It would suit a strong management accountant with relevant transferrable skills within a law firm.Knowledge of 3E would be an advantage. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. /> #

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