Finance Associate - Balance Sheet Reconciliations
Role: Finance Associate
- Complete the reconciliation of various bank accounts in a timely manner.
- Researching discrepancies.
- Posting journal entries, including intercompany journals.
- Provide auditors, both internal and external, with documentation required.
- Collaborate with the wider finance team to clear items from banks.
- Follow up on all transactions continuously and provide updates to management.
- Monitoring daily communications and answering any queries.
- Signing off on all prepared reconciliations.
- File all reconciliations in a well-organized manner.
- Preparing a weekly cashflow report for our FP&A team.
- An understanding of systems such as IPMS and Oracle is desirable.
- Excellent communication skills.
- Strong engagement skills, with proven ability in developing effective working relationships across all levels of the organisation.
- Ability to multi-task, willingness to learn other roles and perform back-up where required.
- Fluency in the English language is essential.
- Process oriented.