Work within the Cash team to ensure accurate cash allocation and daily transaction reconciliation. Interface with business and customers to resolve cash management queries and assist with daily income processing.
Requirements
- Accountable for accurate cash allocation
- Proactive interface with business and customers
- Assist with daily income processing
- Reconcile daily advance income files
- Provide cover for specialist duties
- Flexible to multi-skill across transactional service duties
- Participate in projects and working groups
Benefits
- Competitive salaries
- Excellent benefits
- Performance-based annual bonuses
- Longer-term Share in Success Bonus plans
- Generous annual leave allowances
- Market-leading pensions
- Family friendly policies
- Access to private health insurance
- Wellbeing tools