Cash Office Associate: Reconciliations & SAP Operations

BoF Careers

Leeds

On-site

GBP 26,000 - 36,000

Full time

11 days ago
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Job summary

Burberry is hiring a Cash Office Accounting Assistant to join the Order to Cash team in Leeds. The role focuses on cash allocation, reconciliation, and strong financial controls across multiple currencies, collaborating with internal teams and external partners to ensure accuracy and timely period-end activity.

You will identify improvements and help shape more efficient ways of working, supporting broader Cash Office priorities with attention to detail and effective communication.

Qualifications

  • Experience in finance operations, transactional accounting or cash office environment.
  • Strong attention to detail with the ability to analyse information and resolve differences.
  • Proficiency in Microsoft Excel and SAP or similar ERP system.
  • Clear and concise communication skills for cross-team collaboration.

Responsibilities

  • Process cash allocations accurately and maintain transaction records within SAP.
  • Reconcile bank and control accounts daily across currencies.
  • Manage third-party file uploads and liaise with internal teams and external partners to resolve discrepancies.
  • Reconcile and replenish Burberry gift vouchers weekly and address outstanding items.
  • Prepare month-end bank and control account reconciliations and upload to Cadency; process intercompany activity.
  • Support wider Cash Office priorities and provide cover during weekends or holidays as needed.

Skills

Finance operations
Reconciliations
Financial controls
Excel
SAP
Attention to detail
Communication
Collaboration
Autonomy

Tools

Excel
SAP

Job description

Burberry is hiring a Cash Office Accounting Assistant to join the Order to Cash team in Leeds. The role focuses on cash allocation, reconciliation, and strong financial controls across multiple currencies, collaborating with internal teams and external partners to ensure accuracy and timely period-end activity.

You will identify improvements and help shape more efficient ways of working, supporting broader Cash Office priorities with attention to detail and effective communication.

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