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Jobs from Carey Olsen

Current roles from Carey Olsen. This is the first step toward premium employer pages and stronger company SEO.

Regulatory Reporting Administrator (VA780)

Carey Olsen

Southampton, Hampshire

Accounting Finance

We are seeking a detail-oriented and experienced administrator to support the Regulatory Operations Manager in maintaining client financial records and ensuring compliance with Economic Substance and Beneficial Ownership obligations. This role involves preparing and reviewing client books of accounts, filing regulatory returns, and ensuring accurate data management within internal and external dat

Senior Business Solutions Analyst - Intapp (VA771)

Carey Olsen

Southampton, Hampshire

IT

Carey Olsen is a leading offshore law firm providing legal services to clients across the globe. We combine deep sector knowledge with a collaborative approach to deliver practical, innovative solutions. Our Technology team plays a critical role in advancing the firm’s strategic goals by leveraging cutting‑edge platforms and tools to enhance efficiency and client service. We are seeking a skilled

Finance Administrator - Accounts Payable FTC (VA755)

Carey Olsen

Southampton, Hampshire

Accounting Finance

We are currently looking for a Finance Administrator with Accounts Payable experience to join Carey Olsen on a 12 - 13 month maternity cover fixed term contract basis. You will provide clerical and administrative support to the finance function of Carey Olsen and its associated businesses. ​ Key duties include: Process supplier payments accurately and on time Liaise with internal stakeholders and

Senior Finance Administrator (VA751)

Carey Olsen

Southampton, Hampshire

Accounting Finance

We have an opportunity for a Senior Finance Administrator to provide operational cash administrative support to the Caribbean finance function at Carey Olsen and associated businesses. This is a full time role based in our Southampton office. Principal duties include: Process payments quickly and accurately. Record and reconcile all incoming and outgoing funds. Manage client monies in line with lo