The successful candidate will be responsible for preparing and distributing the daily cash report, post bank reconcilations, daily reconcilation of cash and card accounts across multiple channels and currencies, petty cash posting, preparing monthly balance sheet reconcilations and being the main finance contact for payment queries.
This is an exciting opportunity for a candidate who has gained experince in bank and balance sheet reconcilations and previous experience working in AP and AR.
In return you will receive a competitive salary as well as study support and other benefits. We regret that due to the high volume of applications we are only able to contact suitable candidates.
Reference no: 19864
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