As a Cash & Bank Co-ordinator, specific duties will include:-
Reporting to the Cash & Banking Supervsior you will work within a team of 5 who are responsible for processing bank transactions between Europe and the UK
An exciting opportunity has arisen for a Cash & Bank Co-Ordinator to work for a Market Leading Blue Chip Organisation based on the outskirts of Manchester City Centre.
Posted by CBC Resourcing Solutions • £45K/yr to £55K/yr
Our client is a well established lender within the motor finance sector, who have an exciting opportunity for an Operations Manager to join their team based in North Manchester.
This is a crucial role in ensuring the efficiency and effectiveness of the customer onboarding journey, contact centre operations and early arrears collection strategy.
We are looking for suitably qualified candidates who have proven experience in a managerial role, ideally within a collections call centre environment, preferably in motor finance or asset finance.
A fantastic opportunity has opened in the Booker Finance team for a Operations Finance Manager.
We're looking for someone with a business partnering approach as this role is responsible for supporting our Wholesale branches across a wide range of goods and services not for resale areas.
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 function of the role will be to enhance financial controls, ensure compliance with overall treasury policy, and to pursue best practices within the team.
The role will encompass: Liquidity management, foreign currency management, payments, reconciliations, accounting and reporting.
We have partnered with a well know brand who are seeking a Treasury Manager on a 12 month fixed term contract to lead their daily operational treasury functions.
Your primary responsibilities will include processing invoices and credit notes for several companies within the group, maintaining the purchase ledger with precision, and supporting the wider Finance Operations team as needed.
This role offers an exciting opportunity to focus on Accounts Payable within a thriving Finance function.
Our client is seeking a highly competent Purchase Ledger Assistant to join their dynamic Finance Operations Team.
The role involves overseeing the creation of a new Internal Controls team and leading the implementation, enhancement, ongoing monitoring and reporting of financial, operational and compliance controls across multiple business areas.
It will provide excellent exposure to the business working with senior members of the Finance team, Operations, Product owners, Technology services and Risk and Compliance.
We're now looking to recruit a Head of Internal Controls to join the team and play an integral part in shaping the Group's financial, operational and compliance control environment, as a growing and ambitious FTSE 250 business.