Oversee the purchase ledger including maintaining purchase workflow from ordering to invoicing to approval, processing, general ledger entry and payment
Support the treasury function, including daily monitoring and posting of detailed bank transactions, assisting with wider cash flow strategy and placement of funds in deposit accounts
Monitor business expenditure; track and report any variances to budget
Required Knowledge, Skills, and Abilities
AAT Level 3 or above or part-qualified ACA, ACCA or CIMA or equivalent
Experience in working in a financial services or wealth management industry
Knowledge of accounts payable and bank reconciliations
Prior experience of supporting with the preparation of management accounts
Proficient with Microsoft Excel
High level of attention to detail and a commitment to quality