Description
Finance Analyst - Reconciliations Process
An exciting opportunity has arisen for a Finance Analyst to work on a 3 - 6 month contract based in Manchester with a daily rate up to £250.
Purpose of the role:
- Finance reconciliation process definition and documentation.
- Finance reconciliation performance.
- Liaison with Operations team to resolve reconciling items.
- Tax return data and submission (monthly/quarterly/annual).
- Bank reconciliation.
- Support of Finance Business Partners in project analysis, reporting, MI and reconciliations as required.
- Month-end accruals, journals, analysis and MI.
- Creating MI from redress and tax data.
- MI for Operations costs.
- Maintaining central database of actual/forecasts for delivery costs and redress.
- Support with funding submissions.
- Support with deep-dives on project costs and other ad-hoc analysis.
Skills and experience required:
- Good excel skills required.
- Attention to detail.
- Experience of defining and improving processes.
- Experience of financial reconciliations.
- Ability to work with multiple systems.
- Experience of working in a busy project environment.
- Finance qualification or qualified by experience.
- Financial Services experience preferred.
- Proven experience of working with senior stakeholders.