Reconciliation and Cash Management Specialist to join L&G Asset Management on a 12 month Fixed Term Contract.
Requirements
- Strong reconciliation and cash management experience within either a lead or senior Middle office or Operations role
- Familiar with a Outsource provider Operating Model
- Knowledge of one of, CRD (Charles River) TLM(Smartstream) or Quasar would be preferable
- Experience of challenging working practices and adaptability to change
- Service commitment, delivery, and continuous improvement
Benefits
- Annual, performance-related bonus plan
- Valuable share schemes
- Generous pension contribution
- Life assurance
- Healthcare Plan
- At least 25 days holiday, plus public holidays
- Competitive family leave
- Electric car scheme
- Discounts on products and high street stores