An exciting opportunity to join the Client Funds & Reconciliations team, responsible for the efficient control and management of customer cash, and support a major transformation initiative to align Client Funds managed Balance Sheets and controls into one unified model.
Requirements
- Qualified accountant with post-qualified experience in industry and a strong educational background to degree level
- Strong understanding of SOx and GAAP principles and associated financial reporting requirements
- Advanced proficiency in Microsoft Excel and accounting software (e.g. Oracle)
- Experience in Finance Projects or change/transformation initiatives is advantageous
- Experience working in the revenue to cash space is preferred
- Working knowledge of SQL is advantageous
- Ability to analyse large volumes of data and communicate results precisely
- Professional approach with excellent time management, organisational and multi-tasking skills
- High level of attention to detail and trustworthiness
- Proactive and innovative, with capacity to identify process improvements
- Articulate communicator, both within the team and across the business
- Flexible, thriving in a frequently changing and fast-paced environment
- Enthusiasm and willingness to learn with a desire to progress
Benefits
- Bonus scheme
- Uncapped holiday allowance
- Enhanced pension scheme
- Private healthcare
- Life assurance
- Income protection
- Invest via the Flutter Sharesave Scheme
- Enhanced parental leave