AD Finance
Alexander Daniels are recruiting for a detail-driven Treasury Assistant to join an established business based in Coventry. This is an excellent opportunity for someone with strong reconciliation and cash management experience who enjoys working in a collaborative, supportive environment. The role sits within the Treasury function and supports all aspects of bank reconciliation, cash management, and banking administration.
Key ResponsibilitiesPrepare bank reconciliations for multiple international bank accounts.
Investigate and resolve reconciling items promptly, addressing root causes to prevent recurrence.
Act as a key point of contact for day-to-day banking matters.
Process financial transactions, including inter-company cash movements.
Produce and maintain reports to support treasury operations.
Create and prepare bank transfers and payments using online banking platforms.
Export and upload bank statement files.
Work closely with the wider Treasury and Finance teams to understand business activity and highlight cash implications.
Support the integration of newly acquired businesses.
Maintain and update internal treasury procedures.
Assist group auditors with overseas audits to ensure compliance and smooth year-end processes.
Provide support with cashflow forecasting and month-end direct cashflow reporting.
Contribute to meeting team deadlines and responding to ad-hoc information requests.
High level of accuracy and attention to detail.
Strong communication skills, with the ability to explain issues clearly to finance colleagues.
Good IT capability, including intermediate Excel skills.
Strong analytical skills and a proactive approach to problem-solving.