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Banking Reconciliation Administrator - 3-6 month contract

London

Banking Reconciliation Administrator - 3-6 month contract

  1. Contract
£180 - £280 per day + Via Umbrella
BBBH184234

London

The details

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Bank Reconciliation Administrator - Financial Services - 3-6-month contract £180 - £280 per day via umbrella (dependant on experience).

  • Location: South-West London.
  • Hybrid working: 2 days a week in the office

Overview:

A leading financial services provider specialising in vendor and equipment finance is looking for a Bank Reconciliation Administrator.

This role involves preparing cashbooks, processing customer payments, and performing bank reconciliations.

Key Responsibilities:

  • Cash and Banking Operations
  • Maintain and update daily cashbooks, handling transactions in multiple currencies (EUR & USD)
  • Post and reconcile customer payments within the Odessa system
  • Support the finance team by updating division-specific cash records
  • Conduct daily banking activities and maintain financial tracking spreadsheets
  • Reconcile various bank accounts and investigate discrepancies
  • Manage incoming queries via the finance inbox
  • Assist with financial reconciliations and project-related tasks
  • Regularly review and update unallocated cash records
  • Assist the Bank Reconciliation Supervisor with ad hoc tasks, including bank reconciliation preparation
  • Contribute to month-end reporting by updating key financial records
  • Support other administrative and finance-related duties as needed

Requirements:

  • Part-qualified accountant (ACCA/CIMA/AAT Level or higher)
  • Strong experience in reconciliations and cashbook management
  • Ability to work effectively in a collaborative team environment
  • Excellent verbal and written communication skills
  • Strong time management and organisational abilities
  • Proactive approach to identifying process improvements
  • Detail-oriented with a structured problem-solving mindset
  • Comfortable working under pressure and managing multiple deadlines
  • Solid understanding of general ledger processes and reconciliations
  • Proficiency in Microsoft Excel and financial software

For application and accessibility support, please contact your local Marks Sattin office. We're committed to protecting the privacy of all our candidates and clients, please visit https://www.markssattin.co.uk/privacy for our privacy policy.

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