Overview
A Cash Management Accountant role providing accounting and financial support to the Urban&Civic Group of companies, with a particular focus on cash management.
Role Responsibilities
Cash management matters
- Bank account opening, closures and mandate maintenance (including KYC clearance);
- Maintenance of signatory rights records and bank account permissions (paper and online);
- Assist with audit (internal and external) queries and implementation and monitoring of internal audit recommendations around cash management;
- Manage intercompany cash transfers;
- Monitor and manage cash balance and deposits to ensure adequate funds are available (in line with Group cash management policies);
- Prepare a weekly cash summary (cash balances, including restricted accounts, and deposits, including rates achieved and durations of the deposit);
- Analyse cash spent on monthly basis;
- Prepare a monthly cash management paper that comments on compliance with the Group’s cash management policy (and clearly identifies where compliance has not been achieved).
Accounting and other matters
- Ensure Procure to Pay processes are documented and functioning correctly (including periodic checks of controls where appropriate);
- Post cash book journal entries;
- Reconcile all cash accounts, loan accounts and grant balances;
- Prepare loan covenant compliance reports (banks and Board papers);
- Liaise with debt providers or relationship bank as required (including meeting attendance, loan drawdown/repayment, restricted cash recycling processing);
- Monthly reconciliation of pension and childcare voucher account to HR records (through Head of HR or other designated individual);
- Process and post journals in respect of all corporate credit cards and personal expenses;
- Assist with system improvements, likely to include direct link from banking platforms into accounting software (‘bank feeds’).
- Contributing to Board (V’s and main Group) as required.
Role Requirements
Qualifications, Knowledge & Experience
- Likely to be part qualified ACCA (or similar).
- Previous experience of cash management activities.
- Working knowledge of accounting terms and concepts (Including double entry book keeping).
- Understanding of evolving financial regulations.
- Good level of IT literacy, including good knowledge of excel and accounting packages (SUN would be an advantage but not essential).
Personal Qualities
- Strong verbal and clear written communication skills.
- Extremely trustworthy and able to work with utmost confidentiality.
- Excellent people skills; warm and empathetic with a team ethos.
- Reliable, organised, diplomatic, energetic, sociable, presentable.
- A confident, energetic, and self-motivated individual with a proactive approach.
Contact Detail:
Urban&Civic Recruiting Team