Posted by Flora Co Associates Ltd • £28K/yr to £32K/yr
This role is available due to company growth and is an all encompassing treasury/reconciliation role and will require someone who has previous experience within a similar role.
Our client who is a dynamic and rapidly expanding professional services business with a strong focus on its employee wellbeing is currently hiring for a Treasury Assistant on a permanent basis.
This business offers a vibrant working environment, with a strong emphasis on employee well-being and development.
Posted by Page Personnel Finance • £13/hr to £16/hr
A Reconciliations Clerk is required to manage accounting and finance tasks, primarily focusing on financial reconciliations in the energy and natural resources industry.
The candidate will ensure all financial discrepancies are identified and resolved efficiently.
Posted by Adele Carr Recruitment • £13/hr to £14/hr
Job spec
Statement reconciliations.
General
My client is looking to recruit an experienced finance individual to support the Purchase Ledger team with reconciliations - they require someone to start ASAP!
Posted by Aimee Willow Connex • £28K/yr to £32K/yr
Summary of role
Hard working, structured, analytical individual required.
Significant expertise in Excel necessary (including pivot tables, macros, data management and conditional formatting).
Must be able to work unsupervised and to deadlines, applying a set of required parameters accurately and consistently, by analysing and transposing a range of data sources into Excel.
The role of the Reconciliation and Control Administrator requires problem solving and analytical skills as well as excellent attention to detail around Risk and Control.
The team manage circa 200 mid-month and month end bank reconciliations, including the main Lloyds account reconciliation using dedicated software.
The team process daily requests via a workflow tool to maintain supplier bank details, assist in the process of tenant refunds, movement of cash, management of daily float and manage the opening/closing of bank accounts as well as maintain user access.
The successful candidate will play a critical role in ensuring the accuracy and integrity of our financial records by managing various reconciliation and reporting tasks.
Hybrid - Luton; The Role
Key Responsibilities
Prepare, reconcile and deliver Weekly Discrepancy reports to the account teams.