Preparation of accurate multi-currency bank reconciliations with all reconciling items appropriately investigated and documented
Reconcile and resolve unmatched receipts / payments into our bank accounts with Finance colleagues.
Provide key support to our stores to ensure their compliance with our sales and banking processes including cash floats, petty cash, cash collections and banking discrepancies.
Completion of daily reconciliations to a high standard including clearance of aged transactions, highlighting of any risks and attending a formal monthly review with the management team
Preparation of weekly cash flow reports and cash discrepancy report for key internal stakeholders
External communications with banks and card service providers
Management of cash balances and repatriation of international funds
Work closely with the team and manager to identify and implement systems and processes improvements
Required Knowledge, Skills, and Abilities
1-2 years’ experience working within a Finance team
Role requires excellent numeracy and proficient user of Excel
Experience of international bank reconciliations and using various on-line banking tools.
Excellent attention to detail, performing all work with high levels of accuracy
Open, friendly person who is proactive, keen to develop and work as part of a team