Dynamic financial services team, part of a global group of companies, seeks a Reconciliations Analyst to join them. This role calls for someone with strong Excel skills and who enjoys getting into the detail. We’re looking for exceptional attention to detail, a passionate for maintaining accuracy and a curious mind, who will be on the look out for process improvements along the way. This proactive and forward-thinking team, offer a flexible hybrid working model and a great working environment!
Responsibilities:
Daily, weekly and monthly client account reconciliations Bank reconciliations Identify discrepancies in financial records Develop and implement best practices and process improvements Maintain detailed documentation of reconciliation processes and resolutions as required Monitor compliance within financial regulations and policies Support on internal and external audits, with documentation and explaining methodologies Role reports to the Group Financial Controller Ad hoc FinOps project work as requiredRequirements:
Minimum of a completed accounting or finance qualification preferred, or similar Minimum of 1 - 3 years experience, with a preference to candidates who have similar experience working with financial data and reconciliations Must be analytical and have good data analysis skills Detail orientated with the ability to interpret complex financial data Excellent communication skills MS Office, excellent Excel skills (with use of pivots, look-ups and macros) and experience with ERP systems preferred, Salesforce, Oracle NetSuite ideal A good team player with a “can-do” attitude and task orientated Ability to work well under pressure Must have a high attention to detail Results driven with a client centric mind-setPlease note that if you have not heard from us within 2 weeks of your application, please consider it as unsuccessful for this particular role. Please do though continue to follow us online and apply for suitable opportunities.