Treasury Accountant

Rentokil

City Of London

Hybrid

GBP 45,000 - 60,000

Full time

29 hours ago
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Benefits offered by this job

Hybrid work
Rentokil Initial Reward Scheme
23 days holiday, plus 8 bank holidays
Employee Assistance Programme
Death in service benefit
Healthcare
Free parking

Job summary

Rentokil Initial is seeking a Treasury Accountant to support the Senior Treasury Accountant in all accounting aspects for RI 1927 plc and group companies. You will back‑office support, review treasury transactions, and help prepare the Treasury Committee pack alongside the FP&A team.

You will manage month‑end reporting, budgeting, and ensure accurate recording across Business Central, Kyriba and Cognos, while maintaining SOX compliance and robust internal controls. Hybrid working is offered.

Qualifications

  • Over 2 years experience in treasury, accounting and cash management.
  • Experience in financial reporting and application of GAAP and IFRS.
  • Proficiency with Excel and treasury/ERP tools.
  • Ability to work in a fast-paced, challenging environment.
  • Strong control mindset and ability to improve processes.

Responsibilities

  • Prepare and submit monthly reporting for RI 1927 plc and RI 1896, plus group entities.
  • Budgeting and forecasting for RI 1927 plc and RI 1896.
  • Record transactions in Business Central, Kyriba and Cognos accurately.
  • Reconcile intercompany loans in the TMS to accounting records.
  • Assist with SOX compliance and internal controls.

Skills

Treasury
Accounting
Analytical
Attention to detail

Education

ACA/ACCA/CIMA qualification

Tools

Excel
Treasury Management Systems
ERP Systems

Job description

Job Description

Provide support to the Senior Treasury Accountant all aspects of accounting for RI 1927 plc and other Group companies accounted for in Treasury Back Office; and for the preparation of information for inclusion in the Treasury Committee pack prepared by the FP&A team.

Provide Back Office support to the Treasury Front Office teams ensuring that all treasury transactions are reviewed and approved in a timely manner and in line with policy.

The team is also responsible for administration of Group banking portals and treasury systems.

Responsibilities
  • Prepare and submit RI 1927 plc and RI 1896 MMAs and reporting into Cognos each month?
  • Budgeting and forecasting for RI 1927 plc and RI 1896 income and expenditure?
  • Ensure that RI 1927 plc and RI 1896 transactions are recorded accurately in the accountingsystem (Business Central), the treasury management system (Kyriba) and the reporting system (Cognos)?
  • Ensure all intercompany loan transactions for RI 1927 and RI 1896 in the TMS are reconciled to the accounting system (Business Central)?
  • Ensure compliance with Sarbanes-Oxley and other internal controls?
  • Record monthly mark to market valuations of derivatives in RI 1927 plc?
  • Prepare the statutory reports for RI 1927 and RI 1896 at half year and year end?
  • Prepare slides for the monthly Treasury Committee pack for review by the Treasury Controller?
  • Assist with the preparation of notes in the Annual Report and Interim Statements?
  • Dealing with audit queries?
  • Preparation of monthly reconciliations and completion of evidence of accounting controls, including bank reconciliations for all RI 1927 and RI 1896 bank accounts?
  • Monitor that treasury trades are submitted to the trade repository?
  • Ad hoc projects as directed by the Treasury Controller
Other Reporting
  • Review of pool interest in the BMG pool?
  • Submission of quarterly ONS surveys?
  • Monitor compliance with treasury policy?
  • Prepare the semi-annual WACC calculations?
  • Prepare Central FX Tracker from Group entities (if needed)?
  • Ensure process notes are in place, up-to-date and easily located on the Google drive?
  • Additional responsibilities and projects as required on an ad hoc basis
System Administration and Payment Authorisation
  • Review and approve static data and treasury transactions in the TMS?
  • Kyriba and other treasury payment approvals?
  • Provide back-up for the Treasury Accounting Assistant on payments during periods of absence?
Requirements
  • More than 2 years of treasury, accounting and cash management experience?
  • Experience in financial reporting and application of GAAP and IFRS?
  • Demonstrated proficiency in the use of accounting and finance technology tools (e.g. Excel; Treasury Management and ERP systems)?
  • Ability to work in a fast-paced and challenging environment?
  • Works independently to implement process improvements, strengthen internal controls and increase efficiency.?
  • Resourceful to assess, analyze and implement solutions with minimal oversight.?
  • Maintains strong working relationships with leaders and acts as a partner on all financial related decisions, ?
  • Ability to maintain highly confidential information.
Qualifications
  • Newly qualified ACA, ACCA, CIMA or equivalent qualified with relevant accounting experience?
  • AMCT qualification preferred but not essential
Benefits
  • Competitive salary and bonus scheme
  • Hybrid working
  • Rentokil Initial Reward Scheme
  • 23 days holiday, plus 8 bank holidays
  • Employee Assistance Programme
  • Death in service benefit
  • Healthcare
  • Free parking

At Rentokil Initial, our customers and colleagues represent diverse backgrounds and experiences. We take pride in being an equal opportunity employer, actively encouraging applications from all walks of life. Our belief is that everyone irrespective of age, gender, gender identity, gender expression, ethnicity, sexual orientation, disabilities, religion, or beliefs, has the potential to thrive and contribute. We embrace the differences that make each of our colleagues unique, fostering an inclusive environment where everyone can be their authentic selves and feel a sense of belonging. To ensure that your journey with us is accessible if you have any individual requirements we invite you to communicate any specific needs or preferences you may have during any stage of the recruitment process.

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