An international bank is seeking a conscientious individual with a broad range of finance skills to assist in its busy Finance department.
Your duties will be varied to include:
- Preparation of reports for UK regulators & Head Office
- Month-end closing journals
- Finalisation of balance sheet and P&L statements
- Aiding in liquidity reporting
- Analysis of budget variances
- Reconciliation of GL accounts and nostros
- Support in tax reporting (corporation tax & VAT)
Your experience must include:
- At least a few years relevant accounting experience in the banking sector
- Part qualified or newly qualified
- Strong analysis and Excel skills
- Good team player with excellent communications skills both written and oral
Please note this role will be working 5 days a week in London office.