We are looking for a proactive and detail-oriented Treasury Assistant to support the delivery of the Group Finance business plan. You will manage a range of daily treasury activities including cash management, bank reconciliations, reporting, and funding. You will also support wider group projects and collaborate closely with the Treasury team to ensure efficient day-to-day operations and smooth month-end processes.
Key Responsibilities
1. Work within the parameters of the agreed Group Finance business plan and follow established processes to deliver objectives.
2. Process claim payments and broker premium receipts, including manual payments, foreign payments, cheque requests, cancellations, and daily direct credit payments.
3. Process recovery cheques and receipts, prepare files for automated posting, deposit cheques, and resolve unreferenced payments by liaising with third parties.
4. Complete cash book postings, reconciliations, and raise inter-account transfers.
5. Monitor and reconcile bank accounts, update cash forms, and manage bank queries.
6. Report daily cash positions and assist with cash flow management and cash flow forecasting.
7. Prepare and post journals to Sage 1000 and Sage Intacct to complete month-end reconciliations.
8. Conduct daily cheque analysis to prevent an...