- A chance to utilise your purchase ledger and reconciliation experience
- Work for a growing Not-For-Profit
About Our Client
This is a not-for-profit organisation operating in the accounting and finance sector. As a small-sized organisation, it is committed to delivering impactful services and maintaining financial integrity through efficient processes.
Job Description
- Manage daily cash and bank reconciliations with precision and accuracy.
- Process payments and receipts, ensuring compliance with organisational policies.
- Monitor cash flow and identify discrepancies, taking corrective actions promptly.
- Assist in preparing financial reports related to cash and banking activities.
- Collaborate with internal teams to improve financial processes and controls.
- Maintain accurate records of transactions and support audits when required.
- Provide support for other accounting tasks as needed within the department.
The Successful Applicant
A successful Cash & Banking Finance Officer should have:
- Strong knowledge of cash and banking processes within the accounting and finance sector.
- Proficiency in financial software and Microsoft Excel.
- Excellent attention to detail and organisational skills.
- The ability to work independently and meet deadlines effectively.
- Strong analytical skills to identify and resolve discrepancies.
- Experience working in the not-for-profit industry is advantageous.
What's on Offer
- £15 - £18 p/h, based on experience.
- Flexible temporary position with opportunities to expand skills in accounting and finance.
- Supportive work environment within a small-sized not-for-profit organisation.
If you are ready to contribute your expertise as a Cash & Banking Finance Officer, we encourage you to apply today