Treasury Assistant

Midland Heart Ltd

Birmingham

On-site

GBP 22,000 - 26,000

Full time

12 days ago

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Job summary

Midland Heart Ltd in Birmingham is seeking a Treasury Assistant to join our busy Treasury team, helping manage cash flows and support the wider finance function. You will gain hands-on experience in a specialist area of finance while developing your career.

The role involves reconciliation, cashbook maintenance, intercompany transfers and handling banking queries. You’ll work in a collaborative environment with opportunities to broaden your knowledge and skills while based at our Birmingham

Qualifications

  • Experience in producing bank reconciliations is required.
  • Ability to maintain cashbooks and post journals.
  • Familiarity with intercompany transfers and banking systems.
  • Strong Excel skills and numerical accuracy.
  • Good communication and stakeholder management.

Responsibilities

  • Produce daily and monthly reconciliations for ~100 bank accounts.
  • Maintain cashbooks and journals into the General Ledger (~500 monthly transactions).
  • Prepare intercompany transfers.
  • Input exceptional payments into the banking system following processes.
  • Respond to internal and external queries, investigate and escalate as needed.

Skills

Bank reconciliations
Cashbooks
Journaling into GL
Intercompany transfers
Excel
Stakeholder management
Communication

Job description

Do you have a keen eye for detail, strong organisational skills and an interest in developing your career in finance? We're looking for a Treasury Assistant to join our busy Treasury team, where you'll play an important role in managing and optimising our cash flows while building valuable experience across the wider finance function.

If you're looking for an opportunity to grow your knowledge, develop your skills and gain hands‑on experience in a specialist area of finance, we'd love to hear from you.

You’ll contribute to the success of the team by:

  • Producing daily and monthly reconciliations for circa 100 bank accounts.
  • Maintaining Cashbooks and journaling into the General Ledger – averaging 500 transactions a month on the main bank account.
  • Preparing intercompany transfers for movement of funds.
  • Inputting exceptional payments on our banking system, following strict processes
  • Responding to internal customer and external supplier queries, ensuring all issues are investigated, resolved and/or escalated in a timely manner.

In return, you'll be part of an encouraging and collaborative team where you'll have an invaluable opportunity to grow your experience. At times you may be required to lend support to the wider Treasury team offering you the chance to broaden your knowledge and skills.

Our ideal candidate?
  • An understanding of the services that Treasury functions provide and how those services contribute to a financially strong Housing organisation.
  • Experience of producing bank reconciliations and maintaining journals and cashbooks, or a strong willingness to develop these skills.
  • Some experience of finance related matters and working with numbers such as calculating NET and Gross values using VAT, Data entry and reconciliations etc.
  • Practical experience of using Excel to review numeric information.
  • Strong communication skills, face to face, over the phone and via email with the ability to build relationships and manage stakeholders effectively.

This role is based from our Birmingham, Bath Row office a minimum of 3 days per week. Based on business needs, there may be times you’re required onsite more frequently.

Please note, we are unable to accept applications without a Cover Letter.

We’re proud to be a Disability Confident Employer. Please feel free to contact us if you would like to discuss any adjustments you might need in order to be successful in this role.

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