A small prestigious international bank is seeking a dynamic individual to join its busy Finance department.
Your duties will be varied to include:
- Bank reconciliations
- Processing invoices and payments
- Managing purchase and sales ledgers
- Maintaining the Bank’s Fixed Asset Register
- Assisting with budgets and forecasts
- Completing VAT returns
- Preparing analysis and reports
Your experience must include:
- Proven relevant experience in purchase ledger management, bookkeeping, payments and bank reconciliations gained within a Bank is ESSENTIAL
- A part-qualified accountancy qualification is preferred
- Excellent communication skills – both written and oral
- Strong IT skills
This role will be working 5 days a week in the London office.