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Finance Assistant-Cash and Bank

Michael Page

Manchester

Hybrid

GBP 25,000 - 35,000

Full time

2 days ago
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Job summary

A well-established financial services company in Manchester is seeking a Cash & Bank Finance Assistant. This role involves managing cash and banking transactions and offers hybrid working conditions. The ideal candidate will have experience in bank reconciliation and cash management within a finance role. This is a temporary position with the possibility of extension.

Benefits

Opportunity to join a highly sought after organization
Hybrid working model
Possibility for role extension

Qualifications

  • Experience in Bank reconciliation.
  • Experience in Cash & Banking within a Finance/Accounts role.
  • Willingness to accept a temporary contract initially.

Responsibilities

  • Manage daily cash and bank reconciliations.
  • Support month-end and year-end closing processes.
  • Monitor and report on cash flow.

Skills

Bank reconciliation
Cash & Banking experience
Financial reporting

Job description

The Cash & Bank Finance Assistant will play a vital role in managing and reconciling cash and banking transactions within the transport and distribution industry. This position in Manchester offers an excellent opportunity to support financial operations in a structured and well-organised environment.

Client Details

This role is with a medium-sized company operating within the transport and distribution sector. They are a high profile company with a strong brand name and are currently going through an exciting period of transformation making it an excellent time to join the company. This is a highly sought after company to work for with a state of the art office work environment.

Description

The Finance Assistant-Cash & Bank role is initially a 10 month temporary contract which could be extended. Reporting to the Cash & Bank supervisor the role will be Hybrid -3 days in Wythenshawe office/2 remote. Key responsibilities will include:

  • Manage daily cash and bank reconciliations to ensure accuracy and timeliness.
  • Support month-end and year-end closing processes by providing relevant cash and banking data.
  • Monitor and report on cash flow to assist in financial planning and decision-making.
  • Ensure compliance with internal financial controls and external regulations.
  • Process and post banking transactions, including payments and receipts.
  • Collaborate with other finance team members to resolve discrepancies and improve processes.
  • Maintain accurate records of all cash and bank activities for audit purposes.
  • Provide assistance with ad hoc financial tasks as required by the department.

Profile

In order to apply for the role you should:

  • Have experience of Bank reconciliation
  • Have experience of Cash & Banking in a Finance/Accounts role
  • Be able to consider a temporary contract initially
  • Be able to commute 3 days per week to Wythenshawe office site

Job Offer

  • Opportunity to join highly sought after organisation
  • Hybrid working- 3 days in Wythenshawe office/2 remote
  • Opportunity for role to be extended
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