The Team Member - Cash will work within the Cash team to ensure the accurate allocation of cash received for the Group and reconcile daily transactions in conjunction with the Heathrow Controls Processes.
Requirements
- Accurate allocation of cash received for the Group.
- Proactive interface with the business and customers to resolve queries relating to cash management.
- Assisting with the processing of daily income for Heathrow Express.
- Reconciling daily advance income files.
- Providing cover for specialist duties.
- Multi-skilling across transactional service duties.
- Participating in projects and working groups.
Benefits
- Competitive salaries
- Excellent benefits
- Performance-based annual bonuses
- Share in Success Bonus plans
- Annual leave allowances
- Market-leading pensions
- Family friendly policies
- Private health insurance
- Wellbeing tools
- Learning and development opportunities