At a Glance
- Tasks: Support daily cash transactions and improve financial controls in a vibrant retail environment.
- Company: Join a leading retail brand in the heart of London with a dynamic culture.
- Benefits: Enjoy competitive salary, generous discounts, 25 days holiday, and career development opportunities.
- Other info: Be part of an inclusive team that values diversity and personal growth.
- Why this job: Make an impact in treasury management while working in a fun, fast-paced setting.
- Qualifications: ACCA, CIMA, or ACA part qualified; prior treasury experience preferred.
The predicted salary is between 35000 - 45000 £ per year.
Our Head Office department is in the heart of Piccadilly and occupies the 5th & 6th floor of our beautiful flagship store. This central London location offers so much to explore including restaurants, bars, cultural sites, shopping and more, and only a short walk from the Green Park Tube Station and plenty of bus stops.
To maintain appropriate accounting records and controls to ensure all treasury activity is accounted for and sales are correctly stated. Ensure cash shrinkage is appropriately identified, challenged and mitigated. Understand and assist report creation on our cashflow activity/requirements, continually drive improvements in liquidity and returns on cash held.
Key Accountabilities- Support and reconcile daily cash and credit card transactions across retail and hospitality sites, including monitoring and reporting cash and card variances, shrinkage, shortages, and chargebacks, while maintaining robust financial controls.
- Assist with cash and card position reporting, cash flow forecasting, and foreign exchange updates.
- Review bank, cash, and card postings to ensure reconciliations are accurately completed within the financial system for Treasury Accountant approval.
- Maintain account holder records and ensure timely clearance of related customer accounts.
- Manage credit card commission postings, reporting, and forecasting, with the ability to analyse and explain site‑level variances.
- Deputise for the Treasury Accountant by supporting, developing, and coaching the Cash Office team and key stakeholders as required.
- Provide support for ad hoc treasury activities, reporting requirements, and audit processes.
- Technical: ACCA, CIMA or ACA part qualified or AAT qualified.
- Prior treasury/cash management experience in retail.
- Intermediate Excel skills.
- Strong communication skills and ability to drive change across departments.
- Experience of leading a team / staff management.
- Use of Microsoft Dynamics 365 experience desirable but not essential.
- You are expected to have a high level of accuracy and attention to detail.
- Demonstrates good stakeholder relationships which builds stronger trust and two‑way conversation.
- Questions and listens to understand the interactions between stakeholders and themselves, before providing recommendations for changes.
- Makes sense of complex situations and provides clear communication, training material, presentations and plans.
- Actively demonstrates curiosity about the business, its goals, and operational challenges.
- Pragmatic problem solver and innovator who is prepared to be hands‑on and deliver solutions with gravitas and offer and identify opportunities for improvements.
- Excellent personal and project organization skills, with an ability to work to agreed timeframes and at pace, highlighting risks, priorities, and solutions.
- Experience in Treasury systems and an ability to track costs and spends against budgets and reconciliations.
- Experience and ability to deliver key communication and structured updates to a variety of stakeholders.
- Experience of working in an agile and dynamic working environment.
- Familiar with the urgency/importance matrix, and impact/effort matrix, and be able to plot projects on both to help justify prioritisation.
- Competitive salary.
- A generous store and restaurant discount of up to 40%.
- 25 days holidays (excluding bank holidays) and an extra day off for your birthday.
- A fantastic subsidised staff restaurant which uses Fortnum's ingredients.
- A range of opportunities to develop and grow personally and professionally.
- Excellent pension scheme.
We are committed to developing your career and nurturing your talent, regardless of age; disability; gender reassignment; marriage and civil partnership; pregnancy and maternity; race; religion or belief; sex; sexual orientation. We respect and embrace each other's differences, to create a truly inclusive environment.
Assistant Treasury Accountant in London employer: Retail Jobs
Join our vibrant team as an Assistant Treasury Accountant in the heart of London, where you'll enjoy a competitive salary and a generous discount at our flagship store. Our inclusive work culture fosters personal and professional growth, supported by excellent benefits such as 25 days of holiday, a subsidised staff restaurant, and a commitment to nurturing your talent in a dynamic environment.
StudySmarter Expert Advice🤫
We think this is how you could land Assistant Treasury Accountant in London
✨Tip Number 1
Network like a pro! Get out there and connect with people in the finance and treasury sectors. Attend industry events, join relevant online groups, and don’t be shy to reach out on LinkedIn. You never know who might have the inside scoop on job openings!
✨Tip Number 2
Prepare for those interviews! Research the company and its culture, especially since you’ll be working in a vibrant area like Piccadilly. Be ready to discuss how your skills in cash management and financial controls can make a real impact.
✨Tip Number 3
Show off your Excel skills! Brush up on your intermediate Excel functions and be prepared to demonstrate them during assessments or interviews. Being able to analyse data effectively is key in this role, so let’s make sure you shine!
✨Tip Number 4
Apply through our website! It’s the best way to ensure your application gets noticed. Plus, it shows you’re genuinely interested in being part of our team. Don’t forget to tailor your application to highlight your treasury experience and communication skills!
We think you need these skills to ace Assistant Treasury Accountant in London
Some tips for your application 🫡
Tailor Your CV:Make sure your CV is tailored to the Assistant Treasury Accountant role. Highlight your relevant experience in treasury and cash management, and don’t forget to showcase those intermediate Excel skills we’re looking for!
Craft a Compelling Cover Letter:Your cover letter is your chance to shine! Use it to explain why you’re passionate about this role and how your skills align with our needs. Be sure to mention any experience you have in retail treasury management.
Showcase Your Communication Skills:Strong communication is key for this role. In your application, give examples of how you've effectively communicated with stakeholders or led a team. We want to see that you can drive change and build trust!
Apply Through Our Website:We encourage you to apply through our website for the best chance of success. It’s super easy, and you’ll be able to keep track of your application status. Plus, we love seeing applications come directly from our site!
How to prepare for a job interview at Retail Jobs
✨Know Your Numbers
As an Assistant Treasury Accountant, you'll be dealing with cash flow and financial controls. Brush up on your knowledge of cash management principles and be ready to discuss how you've handled cash variances or reconciliations in the past. This shows you’re not just familiar with the numbers but can also apply them practically.
✨Showcase Your Excel Skills
Since intermediate Excel skills are a must, prepare to demonstrate your proficiency. Bring examples of how you've used Excel for reporting or forecasting in previous roles. If you can, practice some common functions or formulas that might come up during the interview.
✨Communicate Clearly
Strong communication skills are key for this role. Be prepared to explain complex financial concepts in simple terms. Think about times when you've had to communicate with stakeholders or lead a team, and be ready to share those experiences.
✨Demonstrate Your Problem-Solving Skills
This role requires a pragmatic problem solver. Prepare examples of challenges you've faced in treasury or cash management and how you approached them. Highlight your ability to drive change and improve processes, as this will resonate well with the interviewers.