This is an exciting opportunity to be involved in the establishment of Southampton entity and become a key member of our team. The role sits within the Treasury Management department and will report to the Senior Manager.
What you'll be doing:
Perform daily cash reconciliations, ensuring transactions are settled in a timely manner
Book expenses in the internal accounting system within agreed timescales
Monitor and manage outstanding / overdue payments
Ensure all supporting documentation is received and filed as per internal procedures
Prepare payments in line with received documentation
Other day-to-day administrative tasks as required
The ideal background for this role:
University degree
At least 2 years of similar experience
Basic competency in cash management systems
Knowledge of accounting platform would be an advantage
Competency in Microsoft Word, Excel and Outlook
Excellent written communication skills
Highly organized
Autonomous and proactive
Attention to detail
Ability to work in a rapidly changing environment
Lead by example and demonstrate firm values
Result-orientated with a sense of responsibility and commitment to delivering quality work
Role Location/Hybrid Schedule
This role can be based in our Southampton office. Although the nature of most of the roles within Gen II cannot be classed as totally flexible, there is scope in some cases for a form of Agile Working. The different ways in which Agile Working can be undertaken is dependent on the demands and needs of the business, the office space available and the individual's preferences and circumstances.
Beware of fraud agents! do not pay money to get a job
MNCJobs.co.uk will not be responsible for any payment made to a third-party. All Terms of Use are applicable.