An exciting opportunity has arisen to join a leading global organisation within their UK Corporate Treasury & Insurance team. This role will support the day-to-day operation of the Treasury function, with a particular focus on payment processing, financial controls, reconciliations and stakeholder support.
Skills & Experience
* Previous experience within Accounts Payable, Treasury, Payments or Finance Administration
* Experience processing payment runs, supplier payments and reconciliations
* Knowledge of SAP or a similar accounting/ERP system
* Experience using online banking platforms
* Strong attention to detail with excellent numerical skills
* Good understanding of balance sheet reconciliations, journals and financial controls
* Intermediate Excel and Microsoft Office skills
* Strong organisational, communication and stakeholder management skills
* Ability to work effectively both independently and within a team
* Exposure to foreign payments, treasury operations or audit support would be advantageous Only candidates based in UK and eligible to work in UK are allowed
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