Flexible Work, Better Balance
The Junior Treasury & Bank Reconciliation Officer will be responsible for
performing daily and monthly reconciliations of bank accounts, safeguarding
accounts, and payment flows for all the firms within the Ballinger Group. The
role ensures accuracy of financial records, timely identification of
discrepancies, and compliance with FCA and MFSA regulatory requirements,
including safeguarding of client funds.
A successful candidate is expected to have knowledge of, and an interest in,
Group treasury management operations.
Key Responsibilities:
Bank & Payment Reconciliations
Perform daily, weekly, and monthly bank reconciliations across multiple
currencies and Firms.
Reconcile client funds, safeguarding accounts, settlement accounts, and
operational accounts
Reconcile transaction flows between:
o Core payments platform
o Bank statements
o Liquidity Providers statements
...