Provide financial administration and reporting support across allocated jurisdictions within the Trust Group, assisting with internal finance processes, reporting, and reconciliations.
Key responsibilities:
⭐ Support day-to-day finance administration including bookkeeping, cash management and reconciliations
⭐ Assist with monthly, quarterly and annual internal financial reporting
⭐ Support debt collection, cash flow monitoring and spending analysis
⭐ Maintain accurate time and fee records and assist with client billing
⭐ Reconcile bank accounts, expense invoices and disbursements
⭐ Work with the finance team to meet reporting deadlines and maintain accurate financial data
What you’ll need:
⭐ Strong understanding of finance processes and financial administration
⭐ Working towards or holding a relevant qualification (FIA, CAT, ACCA)
⭐ Strong attention to detail and accuracy
⭐ Good communication and organisational skills
⭐ Ability to manage deadlines and work collaboratively within a team
Why join:
⭐ Supportive and collaborative team environment
⭐ Professional development and study support
⭐ Competitive benefits including flexible working and health insurance