An international bank is seeking a conscientious individual with a broad range of finance skills to assist in its busy Finance dept. Your duties will be varied to include:
- Processing invoices and staff expenses
- Preparing various daily reports and assisting with liquidity reporting
- Conducting Nostro reconciliations
- Preparing reports for UK regulators and Head Office
- Supporting tax reporting, including corporation tax and VAT
Your experience must include:
- At least a few years relevant accounting experience gained within banking
- Strong analytical and IT skills, particularly in Excel and ideally T24
- Excellent communication skills, both written and oral, and the ability to work well in a team
This role will be working 5 days a week in London office