- Hybrid working - 3 days on site
- 9 month FTC
- Perform daily and month-end bank reconciliations across multiple accounts
- Post journals and assist with month-end procedures
- Confirm BACS payments and ensure card transactions are processed correctly
- Process customer refunds via BACS
- Handle a high volume of queries from store teams, responding via email with clear and helpful communication
- Support stores with banking-related questions and escalate any issues internally as needed
- Maintain accurate records and assist the wider finance team as required
- Experience in a finance support, transactional finance, or banking role
- Comfortable working with reconciliations and basic journals
- Excellent attention to detail and organisational skills
- A natural problem solver with a helpful, proactive approach
- Confident communicator – someone who is happy to be the link between finance and stores
- No formal accounting qualifications needed
- Experience in retail, wholesale, or a multi-site business
- Familiarity with BACS processes and card payment systems