Description:
If you are looking for a temporary position and would like to start ASAP, this could be the ideal opportunity for you.
This role will provide you an opportunity to expand your finance experience within Treasury and will be ideal for someone with good MS Excel skills and experience of working with debits and credits.
This is a varied role where some of your daily tasks will include coding and processing all direct income and expenditure through Group bank accounts, categorisation of bank statement transactions for cashflow purposes, completing monthly property sale/disposal proceed reconciliations, maintaining the Investment ledger, and processing incoming cheques.
Some of the things we are looking for:
Experience of working with debits and credits
Good ICT skills including experience of MS Excel
Good communicator with strong attention to detail
A commitment to quality, customer service, best practice, and value for money
Be able to follow procedures and be able to use your own initiative
Experience of working within a Finance department and recording, coding, and processing direct income and expenditure would be considered desirable
Organization | networx |
Industry | Accounting / Finance / Audit Jobs |
Occupational Category | Finance Assistant |
Job Location | London,UK |
Shift Type | Morning |
Job Type | Full Time |
Gender | No Preference |
Career Level | Intermediate |
Experience | 2 Years |
Posted at | 2023-06-03 3:47 pm |
Expires on | 2024-06-11 |