Flexible Work, Better Balance
Key Responsibilities:
Treasury and Cash Flow
· Maintain summary of bank accounts across the Group.
· Set up new bank accounts as required.
· Close bank accounts as required.
· User administration on all banking platforms.
· Manage bank mandates.
· Liaise with banking relationship managers.
· Involvement in FX hedging.
· Inputs into weekly cashflow model from bank statements.
· Monitor all bank balances to ensure sufficient funds.
· Complete bank reconciliations throughout the month and at month-end for all bank accounts.
· Month-end balance sheet reconciliations for cash accounts.
· Assist with other ad hoc treasury and cash flow related tasks / queries as they arise.
Tax
· Complete monthly/quarterly returns for VAT, Sales Tax and GST.
· Assist with certain annual returns, including P11D (b) and PAYE Settlement Agreement (PSA).
· Assist the Financial Operations & Tax Manager ...