As Treasury Analyst you will support the wider finance team, reporting on the cash balances whilst also partnering with the deals team ensuring adequate cash allowances are available for transactions.
Your responsibilities will include:
Posting trade and operational journal entries on a daily and monthly basis using SUN.
Reconciling the cash accounts on a daily and monthly basis.
Assessing balances within the accounts and working with the deals team to ensure adequate funds available for transactions
Where FX transactions have been done, booking differences into P&L accounts
At month end, assisting with P&L, and bank account reconciliations
Work with auditors and provide evidence where necessary
Liaising with banks to investigate queries e.g. failed payments and unknown receipts of funds
Helping to process quarterly VAT return
Ad hoc assistance with wider finance duties
Salary & Benefits
Largely remote working, if in office there is access to the office gym and full subsidised restaurant.
Required Knowledge, Skills, and Abilities
Have minimum of 3 years within a treasury focused role within a finance team Sun systems desirable Working towards a recognised accounting qualification, (ACCA/CIMA/CPA) Excellent communication skills