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Cash Assistant

Company

CSL

Location

Liverpool, United Kingdom

Type

Full time

Description

Responsibilities:

  • Post bank transactions into the SAP system daily, as well as clear transactions through clearing accounts to account for FX and match payments to payment runs or intercompany transactions

  • Maintain entity/regional mailboxes and action any ad hoc queries in respect of cash and cash postings

  • Raise manual journals as necessary

  • Respond to queries/request from external auditors

  • Support the wider business in reconciling manual payments out of the bank, ensuring all are coded to correct GLs

  • Perform routine bank reconciliations of both bank and loan accounts, resolving any differences timely

  • Support in the monthly intercompany payment procedures, whereby intercompany receivables and payables are settled on a group basis and appropriate payments, postings and clearances are actioned.

  • Perform routine survey reports and submit these to th...

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