In this role, you will creating, maintaining, and enhancing a strong framework of cash reconciliation controls within the Business Unit. A high level of support to ensure complete protection of managed cash assets and verify the effectiveness of all key cash control activities to our ongoing success and strategic goals.
Responsibilities
•Lead and drive cash reconciliation performance in alignment with AM accounting procedures to support the achievement of business plan objectives
•Review and develop cash reconciliation processes and standards across the Business Unit to ensure consistency, compliance, and best practice application
•Act as a focal point for cash reconciliation financial procedures during periods of significant organizational change, ensuring smooth and effective transitions
Requirement:
Hold a transferrable Visa.
Finance or Reconciliation experience of 1-2 years.
Minimum degree level, preferably in accounting, finance, or equivalent qualification by experience
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