Cash Office Jobs

Sigmar Recruitment - Dublin
process for the use of our open spaces and meeting rooms for external organisations ; Monitor room bookings internally to help with the smooth running of the Office; Manage the petty cash box, credit 35000.0
from: irishjobs.ie - 9 days ago

Global Professional Consultants - Longford
Reception, general admin duties, answering phones, managing incoming emails and daily post. You will provide support to the accounts department as needed and deal with petty cash. Daily stock check 30000.0
from: irishjobs.ie - 26 days ago
Musgrave NI - County Clare
their potential. Support your store manager to engage with store colleagues, the local community and charity partners. You may be required to cover post office and cash with appropriate training, as and when £ Not Disclosed
from: nijobs.com - 26 days ago

GHL Recruitment - Dublin
. Maintain administrative SOPs & assist with general office tasks. Bookkeeping: Lodgements, petty cash, invoicing, credit notes, and debtor collection. Requirements: Proficiency in Zoho, MS Office (Word, Excel 40000.0
from: irishjobs.ie - 11 days ago

Clearstream Fund Centre S.A., Cork Branch - Cork
subscriptions, redemptions and switches Transfers execution and settlement Middle office and settlement functions for trades Client queries and client support / management Mandatory Corporate Action Cash & Share 12000.0
from: irishjobs.ie (+1 source) - 24 days ago
CPL Recruitment - County Galway
. This role is hybrid with 4 days in office and Friday working from home. RESPONSIBILITIES Full responsibility for Accounts Receivable: o Cash application process ownership: o prepare and reconcile all cash Negotiable
from: cpljobs.com - 26 days ago

Cpl Resources - Galway - Galway
is hybrid with 4 days in office and Friday working from home. Key Responsibilities Responsible for supporting the global Order to Cash (O2C) collection process (across B2B and B2C) Assisting with the cash
from: irishjobs.ie (+1 source) - 10 days ago

Brightwater - Dublin
(or similar) software. oPrepare financial reports (Income & Expenditure, month-end reconciliations). oAssist with year-end accounts and audits. oSafeguard financial and administrative records. oOversee cash 45000.0
from: irishjobs.ie - 15 days ago

Steering Point - Kildare
. Preparation and ongoing management of cash flow forecasts. Key Requirements Minimum of 3 years experience in a similar role. Proficient in MS Office, particularly Excel. Experience using SAGE software 100000.0
from: irishjobs.ie - 15 days ago

Leinster Appointments - Dublin
invoices are generated and sent promptly with correct VAT details. Maintain and refine cash office and invoicing policies, ensuring best practices are followed. Work closely with the Credit Control team 45000.0
from: irishjobs.ie - 19 days ago