Accounts Assistant
A fast growing financial services business is seeking to add a new member to their finance team, to focus on day to day financial operations, including banking and system reconciliations, fund dispersals, and payment processes
Key Responsibilities
- Daily bank reconciliations - responsible for reconciliations across 20 bank accounts, and for investigating discrepancies
- Processing of loan dispersals, creating payment instructions and making payments
- Maintain and update daily cashbooks, handling transactions in multiple currencies (EUR & USD)
- Post and reconcile customer payments within the Netsuite system
- Support the finance team by updating division-specific cash records
- Conduct daily banking activities and maintain financial tracking spreadsheets
- Manage incoming queries via the finance inbox
- Assist with financial reconciliations and project-related tasks
- Regularly review and update unallocated cash records
- Contribute to month-end reporting by updating key financial records
- Support other administrative and finance-related duties as needed
Skills Required
- Understanding of accounts, transactional processing and bank reconciliations
- An understanding of financial controls
- Solid understanding of IT and finance software, including Excel
This role will suit someone, who has experience in the finance sector, and who is tech savvy, who is keen to progress in a high calibre and growth oriented financial team.