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Reference LWGWPPET
Location Peterborough
This role involves but is not limited to:
Reconcile bank accounts on a daily/weekly/monthly basis and resolve all reconciling items within a prompt timeframe.
Ensure that any duplicate payment/receipt, or other potential errors or omissions are identified promptly and immediately communicated to the relevant department and personnel.
Timely postings of receipts and payments in all designated and COP accounts
Ensure that all bank reconciliations are complete for monthly review by Senior Finance Management and Client accounts are provided to the COFA for sign off.
Assist with internal cash transfers as directed.
Requirements:
Legal background and bank reconciliation experience would be beneficial.
Competent in Microsoft Office with strong Excel skills.
Good written and verbal communication skills.
Professional approach.
High level of attention to detail.
Ability to multi-task and meet tight deadlines in a busy environment.
Company Core Values:
Aspirations: To be the best that you can, motivated to do things better, works smarter not harder, embraces changes, learns from mistakes, takes an interest in the vision of the business
Integrity: Open and honest, shows respect, admits mistakes, looks at ways to improve and share ideas
Innovation: Creative and Dynamic, Adaptable to change, seeks ways of doing things better, get involved with work that makes a difference, continuously learns new things for personal development
Commitment: Relationships for the long-term