Responsibilities Include:
- Reconciliation of daily and monthly cashflows for all business entities
- Bank reconciliations daily
- Processing of all finance cashbook payments and receipts
- Intercompany funding, invoicing and transactions and monthly reconciliations
- Support Shared Services and Treasury Manager as required
- Assist Shared Services function as required
- Assist Accounts Payable and Receivable as required
- At least 5 years’ experience in a large finance environment
- A relevant qualification would be well regarded
- Intermediate skills in Microsoft Excel, Word and Outlook
- Excellent communication skills
- Highly developed organisational and time management skills with the ability to prioritise to meet critical deadlines
Only those with the relevant experience and qualifications will be considered.
We are passionate about providing equal employment opportunities and embracing diversity to the benefit of all. We actively encourage applications from any background.