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Treasury Assistant

RSM

Preston

On-site

GBP 25,000 - 35,000

Full time

30+ days ago

Job summary

RSM is seeking a Treasury Assistant in Preston to manage banking and cashflow requirements while supporting a dynamic finance team. The successful candidate will be responsible for cashflow reporting, reconciliation tasks, and enhancing financial processes in a flexible, hybrid work environment. This role offers a competitive salary, comprehensive benefits, and a chance to grow in a supportive team setting.

Benefits

Hybrid and Flexible working
25 Days Holiday
Access to financial wellbeing benefits
Access to 300+ training courses

Qualifications

  • Proficient in Excel (pivot tables, vlookup, etc.) is crucial.
  • Excellent interpersonal skills for effective communication.
  • Self-motivated and analytical nature is essential.

Responsibilities

  • Prepare and distribute the daily cashflow report.
  • Conduct bank reconciliations and resolve discrepancies.
  • Post daily bank transactions and liaise with teams.

Skills

Excel
Interpersonal skills
Self-motivation
Analytical thinking

Tools

Microsoft Great Plains
Workday

Job description

Treasury Assistant
RSM Preston, United Kingdom Apply now Posted 18 days ago Permanent Competitive

Treasury Assistant

Treasury Assistant

We are searching for an experienced Treasury Assistant

Make an Impact at RSM UK

The National Finance (NF) team are hiring a Treasury Assistant to join their team. The purpose of this role is to ensure the NF function meets its banking and cashflow requirements, looking after our office and client accounts and supporting the team with projects and other ad hoc tasks.

NF is a team of approximately 85 people, split over various locations. They are responsible for supporting the firm with all financial aspects of the day to day running, including supplier payments and expenses, payroll, commercial finance support and financial and statutory accounting to name a few.

The Treasury team in which this role resides is responsible for the firm's deposits profile, debt, cashflow and reporting.

You'll make an impact by:

  • Preparing and distributing the daily cashflow report
  • Bank reconciliation of all office accounts and following up with relevant teams on discrepancies and outstanding items
  • Daily posting of bank transactions and fee receipts into the accounting ledger and working with the credit control team to enhance the process
  • Liaising with corporate card holders for coding of the monthly statements and posting the journals
  • Completing the Borrowings reconciliation, tracking that the firm's debt are paid on time and ensure all treasury - balance sheet reconciliations are completed and signed off

What we are looking for:

We value diverse experiences and perspectives. Here's what we're looking for in our ideal candidate:
  • Proficient in Excel (understanding of pivot tables, vlookup, sumif etc.)
  • Excellent interpersonal skills - able to deal with people at all levels
  • Self-motivated and able to show initiative
  • Analytical in nature and able to ask the right questions
  • Experience of Microsoft Great Plains and Workday, ideal but not essential

What we can offer you:

We recognise that our people are our most important assets. That's why we offer a flexible reward and benefits package that will help you have fulfilling experience, both in and out of work.
  • Hybrid and Flexible working
  • 25 Days Holiday (with the option of purchasing additional days)
  • Lifestyle, Health, and Wellbeing including financial wellbeing benefits such as financial tools, electric car scheme and access to a virtual GP.
  • Access to a suite of 300+ courses on demand developed by our inhouse Talent Development team.

#LI-AE1

Experienced hire

Permanent

PRESTON

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