Job Description
You’ll need to have a proven track record of working within a financial institution in a similar role and suitably qualified. You’ll be working across multiple internal teams including, sales, risk and operations and will be supporting the business through huge growth plans.
The main responsibilities for the role will include:
- Preparation of monthly Information pack, including consolidated balance sheet, revenue account and commentary.
- General ledger reconciliations and validations
- Preparation of financial statements
- Liaising with the Statutory Auditors.
- Assisting and liaising with the Auditors
- Assistance in overview of daily cash management.
- Assistance in reviewing and assisting the transaction team
- Maintenance of processes and procedures
- Assisting in the ongoing process improvement processes
- Liaising with other company departments, treasury, credit risk and operations as examples.