- Gain experience managing finance operations across multiple currencies
- Clear career path with growth into senior finance roles
About Our Client
a fast‑growing, international company with a dynamic and collaborative finance team. The organisation values innovation, strong financial controls, and offers a supportive environment where employees can develop and grow their careers.
Job Description
- Prepare bank reconciliations for multiple accounts and currencies
- Process payments and intercompany cash transactions
- Support cashflow forecasting and month‑end reporting
- Produce and manage treasury and cash management reports
- Act as liaison with banks and manage banking relationships
- Assist with integration of new acquisitions
- Maintain company procedures and financial documentation
- Support auditors for year‑end and compliance requirements
- Collaborate with the wider finance team on projects and ad‑hoc requests
The Successful Applicant
- Experience in finance operations or treasury‑related work
- Multi‑currency and multi‑account reconciliation experience
- Strong attention to detail and accuracy
- Good analytical and problem‑solving skills
- Competent with Excel; ERP experience advantageous
- Ability to work in a fast‑paced, collaborative environment
- Proactive, flexible, and solution‑focused attitude
- Minimum AAT qualification or equivalent accounting / bookkeeping knowledge
What’s on Offer
- Competitive salary of £30,000-£34,000
- Permanent role with clear career progression opportunities
- Hybrid working with 3 days in the Coventry office
- 25 days annual leave plus bank holidays and an extra day in July
- Pension scheme and free on‑site parking
- Support for professional development and study
- Volunteer and team activity days
- Friendly, collaborative, and non‑corporate working environment