1. Gain experience managing finance operations across multiple currencies
2. Clear career path with growth into senior finance roles
About Our Client
a fast-growing, international company with a dynamic and collaborative finance team. The organisation values innovation, strong financial controls, and offers a supportive environment where employees can develop and grow their careers.
Job Description
3. Prepare bank reconciliations for multiple accounts and currencies
4. Process payments and intercompany cash transactions
5. Support cashflow forecasting and month-end reporting
6. Produce and manage treasury and cash management reports
7. Act as liaison with banks and manage banking relationships
8. Assist with integration of new acquisitions
9. Maintain company procedures and financial documentation
10. Support auditors for year-end and compliance requirements
11. Collaborate with the wider finance team on projects and ad-hoc requests
The Successful Applicant
12. Experience in finance operations or treasury-related work
13. Multi-currency and multi-account reconciliation experience
14. Strong attention to detail and accuracy
15. Good analytical and problem-solving skills
16. Competent with Excel; ERP experience advantageous
17. Ability to work in a fast-paced, collaborative environment
18. Proactive, flexible, and solution-focused attitude
19. Minimum AAT qualification or equivalent accounting/bookkeeping knowledge
What's on Offer
20. Competitive salary of £30,000-£34,000
21. Permanent role with clear career progression opportunities
22. Hybrid working with 3 days in the Coventry office
23. 25 days annual leave plus bank holidays and an extra day in July
24. Pension scheme and free on-site parking
25. Support for professional development and study
26. Volunteer and team activity days
27. Friendly, collaborative, and non-corporate working environment