Register with Us
Cash and Banking Manager
  • London, UK
2 years ago
Credit Controller
Permanent
Job Description

The role would include resolution of any issues or queries from the business and other finance colleagues, account reconciliations, accounting for credit card and ecommerce receipts, posting and authorising journals, administration of bank accounts, month end close processes and proactively improving the Group’s cash processes and controls. Where necessary and to ensure holiday cover, the individual will need to cover the work of the junior assistant.

The key tasks will include:

  • Proactively challenging existing processes and then develop and improve them, both in the business and within finance
  • Reviewing and discussing with the GFC the daily cash tracker
  • Ensuring that queries in the banking/treasury inbox and via the helpdesk are resolved and requests from the business are dealt with in a timely manner
  • Checking that the payment runs are carried out efficiently and customer receipts have been allocated correctly on a daily basis
  • Responsible for ensuring minimal levels of unallocated cash and for all bank control accounts to be fully reconciled and no older than 15 days
  • Identify key risks and issues coming out of bank reconciliations and implement appropriate prevention and detection controls
  • Carrying out analysis on cash balances and forecasting future cash needs
  • Ensure bank mandates are maintained and fully up to date

The individual will have had previous experience of working in a banking or treasury team, and will therefore have a full understanding all of the basic processes in those areas such as ensuring correct authorisation for payments, and accounting for bank transactions and ensuring minimal levels of unallocated cash. The individual must have an appetite for resolving issues, developing better processes, getting things right and be enthusiastic to help manage the junior assistant.

Behaviours & Knowledge

Essential

  • Proactive mindset with a “can do, will do” attitude
  • Keen to develop accounting knowledge
  • A team-oriented person who can communicate with and support others in finance
  • Previous treasury/cash management experience
  • Ability to clearly think about banking processes and how transactions flow into the finance system
  • Experience of bank account reconciliations
  • Attention to detail and accuracy
  • Intermediate level Excel

Required Knowledge, Skills, and Abilities
Part qualified accountant keen to develop themselves – Centaur can provide support for further study Agresso or similar accounting package experience Knowledge of banking systems such as RBS

Reference no: 10057

Jobseeker

Are looking for job?
Apply now

Recruiter

Are you recruiting?
Post a job