Apr 19, 2026
Part time treasury assistant to work on a temporary - permanent basis.
Based in the Coventry office, the role reports to the Treasury Manager. The role will cover all aspects of bank reconciliations, management of the bank relationship, and cash management.
The duties will include:
- Preparing bank reconciliations for currently 15 accounts for all US companies in USD currency.
- Ensuring that reconciling items are dealt with promptly and that the underlying causes are addressed to avoid recurrence.
- Acting as contact with the banks servicing matters
- Documentation processing and responsibility for processing financial transactions, including inter-company cash transactions.
- Managing and managing various reports for treasury operations.
- Create/prepare bank transfers/payments using Online Banking Platforms.
- Export/upload bank statement files.
- Working with the rest of the Treasury/Finance team, to understand business practices and new projects, then highlighting...
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Unknown Status
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CV-Library
Coventry, UK
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