Interim Cash & Bank Reconciliations Manager

Discipline: Finance

Sector: Local Government

Location: Hybrid working

Type: Temporary

Date posted: 10/02/2022

Start: ASAP

Duration: 6 months

Salary: £385 - £400 per day

Details

A London Borough have an urgent need for an Interim Cash & Bank Reconciliations Manager to oversee the banking services team.

You will have an excellent understanding of bank reconciliation and income allocation

Ideally knowledge of Oracle Cash Management and Capita AIMS

You will have full management of the cash management team, and working with the oracle team around process improvement

Successful experience of tackling backlogs in bank reconciliation, and improving procedures to prevent in future

A Skilled team leader who can develop the skills of the staff reporting to.

The role will be Hybrid working and will require 1 day a week in office.

Register Interest

33 King Street, St. James’s,
London, SW1Y 6RJ





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