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This role will provide support to the UK Corporate Treasury & Insurance department in various matters in relation to the efficient day to day running of the department, focusing primarily on the payment workflow.
Job Responsibility
Preparing & running payment reports as necessary
Foreign Payment runs - Manual foreign payment preparation - Entering payments on banking system as required
Dealing with telephone and email queries from employees and suppliers
Administrative activity in relation to Purchasing Card programme
Raising accounting journal in SAP
Support internal and external audit
Reconciliation/analysis of various balance sheet accounts
Assist with adhoc tasks as they arise
Requirements
Numerate, with good attention to detail
Proficiency with use of accounting systems (such as SAP or similar)
Proficient with the use of Online banking systems (Bankline, CitiDirect, Barclays.Net, Connexis)
Good organisational and time management skills
Intermediate level of use and understanding in Excel/Microsoft Office Suite of products
Ability to work well within a team environment, both within the office and remotely.