SENIOR ADMINISTRATOR – RECONCILIATIONS | ref.MF402
Role Purpose: To assist the Team Leader in the accurate management and processing of account reconciliations and custody checking in line with agreed parameters and timescales.
Key Responsibilities: Perform daily reconciliation processes within agreed parameters for bank, stock and control accounts. Control and create reports within the reconciliations function to improve efficiency around the business. To report details of any ongoing complex outstanding queries to the Team Leader. To assist others within the Finance Team in the event of holidays/sickness/high workloads to ensure deadlines are achieved and Service Standards are met.
The successful candidate will have experience within reconciliations and the ability to work under pressure to tight deadlines.
To discuss this role further please email your CV to firstname.lastname@example.org or call us on 01624 698900, quoting reference MF402.