Financial Operations Specialist
2 weeks ago
About Our Client
Michael Page (UK) is seeking a skilled Treasury Accountant to join their team in Sheffield. The successful candidate will be responsible for handling financial activities related to treasury, reporting, and reconciliation.
Key Responsibilities
- Manage daily treasury operations and financial transactions.
- Prepare and present financial reports and statements.
- Perform bank account reconciliation.
- Ensure compliance with financial regulations and standards.
- Participate in financial audits and provide recommendations for procedural improvements.
- Work closely with the Accounting & Finance Department to optimize financial procedures.
- Assist in the development of the company's financial strategy.
- Maintain relationships with banking and financial partners.
Requirements
- Accountancy qualification (ACA or ACCA) and/or Treasury Qualification (ACT).
- Proficiency in financial software and MS Office Suite.
- A strong understanding of financial regulations and standards.
- Experience using SAP would be desirable.
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