A small prestigious international bank is seeking a dynamic individual to join its busy Finance department. Your duties will be varied to include: Bank reconciliations Processing invoices and payments Managing purchase and sales ledgers Maintaining the Banks Fixed Asset Register Assisting with budgets and forecasts Completing VAT returns Preparing analysis and reports Your experience must include: Proven relevant experience in purchase ledger management, bookkeeping, payments and bank reconciliations gained within a Bank is ESSENTIAL A part-qualified accountancy qualification is preferred Excellent communication skills both written and oral Strong IT skills Th is role will be working 5 days a week in the London office.