The focus of this role is to support the business with month end processes, financial controls and reconciliations.
Key responsibilities will include:
*Ensuring all journal inputs are completed and accurate within set deadlines;
*Maintaining all assigned reconciliations and controls;
*Hitting key daily controls targets and ensuring all are correct and to the required standard;
*Raising any risks or issues to impacted business units;
*Maintaining open dialog with crucial stakeholders across the business;
*Updating and Maintaining procedures & user guides.
Our client is seeking candidates with a least 3 years of experience working in an accounting role within a financial services business.
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