This role has now been filled. For information regarding similar roles we are currently working on, please speak with one of our Consultants.
Large City based Insurance Company require an Assistant Accountant to support the Cash Accounting and Treasury Liquidity Management team.
Confident in processing double entry bookkeeping, have been involved in ledger postings, have focus on cash postings, bank account reconciliation and related activities. Process debits and credits. Managing payments, producing liquidity reports on spreadsheets and e-banking platforms for Treasury team.
Role requires relevant operational experience and the ability to work alone both diligently and to time.