We are seeking candidates who have experience working in a financial or accounting type role who want to move into the fast-paced world of Insolvency and Restructuring. You will be given thorough training to develop new skills to support the cash management of insolvency cases. This is an exciting opportunity to join the Restructuring Services team.
You will be working in the newly formed Treasury and Cash Management team on big ticket and most likely well-known insolvency appointments.
Assisting case Cashiers with:
As an Associate Consultant in the team, you will be responsible for:
- Completing of transactions on TPS.
- Making FX adjustments on transactions
- Downloading of receipt reports and raising direct receipt transactions,
- Preparing, validating, and importing of data onto the banking systems.
- Filing of relevant supporting documents in our document management system and link to the appropriate transaction on the TPS system.
- Assisting cashiers with ad-hoc, treasury-related queries
- Monitoring and completion of diary lines.
- Assisting with review of supplier/creditor bank details to prevent fraud and money laundering activities on our banking platform.
Requirements:
- Experience of working in the finance function; in particular managing cash, banking, and payment processing.
- A good understanding of double-entry book-keeping and cash book systems and accounting generally.
- An ability to learn and adapt quickly with bespoke financial accounting systems.
- A good understanding of generic software systems including MS Word, Outlook, and Excel in particular.
- Experience of banking processes and using internet banking platforms.
- Always ensuring high quality service.
- Flexibility to meet peak demands when required; and
- An ability to manage and prioritise workloads.
If you are looking for the next step in your career, please do get in contact! The client will consider candidates who are fully remote in London, Birmingham, Manchester and Leeds.