Job Details: Reconciliations of all transactions on our bank accounts and control accounts.
This role requires a high degree of accuracy, confidentiality, and organisation, as you will be managing sensitive financial transactions as well as supporting the wider finance team in maintaining robust financial controls. You will liaise regularly with internal departments to ensure timely clearance of all bank statement and control account entries.
Key Responsibilities:
- Perform daily and monthly reconciliations of multi-currency bank and control accounts, ensuring all transactions are matched to internal system records and completed to company standards within strict deadlines.
- Investigate and resolve outstanding reconciliation items, escalating complex issues as required.
- Liaise with internal departments to facilitate the timely clearance of bank and control account entries.
- Support the finance team in upholding and enhancing financial controls and procedures.
Key Requirements
- Min of 2 years’ experience in reconciling multi-currency accounts is preferred
- Strong analytical and problem-solving abilities, with a methodical and flexible approach to tasks
- Excellent written and verbal communication skills
- Good people skills, with the ability to work collaboratively within a team and across departments
To Apply: Please use the APPLY NOW button which will take you to the online application system. When completing your application, please make sure you select that you heard about this vacancy through JustTheJob.im.
To be Advised
35
Stay up-to-date with all the latest goings on via our social media channels.