An international bank is seeking a conscientious individual with a broad range of finance skills to assist in its busy Finance department. Your duties will be varied to include: Preparation of reports for UK regulators & Head Office Month-end closing journals Finalisation of balance sheet and P&L statements Aiding in liquidity reporting Analysis of budget variances Reconciliation of GL accounts and nostros Support in tax reporting (corporation tax & VAT) Your experience must include: At least a few years relevant accounting experience in the banking sector Part qualified or newly qualified Strong analysis and Excel skills Good team player with excellent communications skills both written and oral Please note t his role will be working 5 days a week in London office.