- Salary: 18k (6month FTC)
- Job ID: 165950
- Category: ACCOUNTANCY & FINANCE
To assist with the daily checking and processing of cash returns across the business, ensuring cash controls are adhered to and the daily reconciliation of control accounts.
You will be responsible for the accurate daily cash recording. This includes the daily reconciliation of all relevant control accounts.
Strong numerical skills
Good understanding of double entry
Control account reconciliation experience
Able to work to tight deadlines
Customer focussed with excellent telephone manner.
Strong communication and Team focussed skills
Attention to detail.
Able to cope with high work volume
High level of IT competency, specifically excel and word.
Interested - CraigStewart@NRGplc.com