This role is for an Assistant Accountant in the Finance Department.
Key Responsibilities
* Perform reconciliations on bank accounts with historical outstanding data.
* Identify and resolve discrepancies.
* Eliminate the number of outstanding items.
* Ensure the accuracy and integrity of financial data through a detailed reconciliation process.
* Document reconciliation processes and maintain detailed records.
Key Requirements
* This role is suited to an individual who has a flair for reconciliations in an environment where there are large volumes of data.
* This role would be suitable for a person engaged in professional examinations.
* Strong Excel skills with advanced functions.
* Excellent attention to detail and analytical skills.
* Effective communication within the wider finance team.
* Support further development and improvement of the reconciliation process.
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