* Free parking, Free lunch
* Hybrid
About Our Client
A professional organisation with a global remit, known for managing complex operations and maintaining high standards of integrity. It offers a collaborative working environment and supports a hybrid office model within a structured and well-established team.
Job Description
* Process and reconcile incoming payments, ensuring accurate allocation to invoices and general ledger accounts.
* Follow up on missing remittance advice and resolve payment queries.
* Maintain and reconcile suspense and bank accounts to ensure financial accuracy.
* Support month-end balance sheet reconciliations with appropriate documentation.
* Assist with invoice review and posting, particularly travel-related expenses.
* Provide ad-hoc support during audits, peak periods, and other finance team activities.
The Successful Applicant
The ideal candidate is detail-oriented, proactive, and skilled in managing high volumes of financial transactions. They possess strong reconciliation abilities, effective communication skills, and experience with financial systems, particularly Microsoft Great Plains, alongside moderate Excel proficiency.
What's on Offer
* 20 days annual leave plus UK bank holidays
* Private health care
* Group personal pension scheme and life assurance
* Free lunch when working in the office
* Ride-to-work scheme
* Free on-site parking
* Hybrid working model
* Standard working hours: 35 hours/week
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