Cash Management Accountant
Michael Page City of London
About Our Client
Our client is an eminent property development firm, recognised as a large organisation. They are known for their high-quality urban regeneration projects across England that transform the way people live and work.
Job Description- Bank account opening, closures and mandate maintenance (including KYC clearance);
- Maintenance of signatory rights records and bank account permissions (paper and online);
- Assist with audit (internal and external) queries and implementation and monitoring of internal audit recommendations around cash management;
- Manage inter-company cash transfers;
- Monitor and manage cash balance and deposits to ensure adequate funds are available (in line with Group cash management policies);
- Prepare a weekly cash summary (cash balances, including restricted accounts, and deposits, including rates achieved and durations of the deposit);
- Analyse cash spent on monthly basis;
- Prepare a monthly cash management paper that comments on compliance with the Group's cash management policy (and clearly identifies where compliance has not been achieved).
The Successful Applicant
A successful Cash Management Accountant should have:
- Previous experience of cash management activities.
- Working knowledge of accounting terms and concepts (Including double entry book keeping).
- Understanding of evolving financial regulations.
- Good level of IT literacy, including good knowledge of excel and accounting packages (SUN would be an advantage but not essential).
- A competitive salary ranging from £50,000 - £55,000.
- An opportunity to work in a collaborative and supportive work environment.
- Generous holiday leave.
- Comprehensive benefits package.
We invite all suitable candidates to apply and look forward to welcoming a new member to our dynamic team.
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