Treasurer (14 month contract)

Location: South Yorkshire
Salary: £25,000 pa
Reference: LT \ 14373
Type: Contract
Sector: Accountancy Support, Accountancy & Finance
Deadline: 08/08/2021

The company

Brewster Partners are working with a historic Sheffield company to recruit a treasurer on a 14 month contract to cover maternity leave. This role will be responsible for the overall management of the bank accounts within the group, the accuracy of cashbooks, general ledger cash, working with banks and analysis within the department.

The job

  • Working with two main banks to be able to manage all aspects which include timely and accurate cashbook maintenance / reconciliation and review of all payments from the bank whether direct debit or electronic
  • Liaising with different departments such as AP & Payroll to monitor all Supplier payments / Payroll costs to ensure sufficient funds are drawn down to cover these, along with any Direct Debits & ad-hoc payments
  • Ensure that cash balances within the GL accounts are accurately stated. Reconcile cashbook on a daily basis and GL accounts on a monthly basis
  • Process cashbook payments when required
  • Monitor and communicate foreign currency exposure through hedging deals with financier
  • Ensure that foreign currency cash receipts are allocated against the correct loan account
  • Ensure all cash received is applied to the correct Customer accounts and onto the correct collateral lines within the facility
  • Ensure that cash sweeps to loan facility are accurately made by company and corrected where required
  • Take overall responsibility for completion of AR collateral reconciliations to the financier, investigating reconciling cash movements. Ensure that these reconciliations are submitted within deadlines stipulated within the agreement
  • Overall responsibility for the preparation of the monthly collateral pack and ineligible re-set
  • Preparing the liquidity which reconciles to the Bank loan on a daily basis.
  • Monitoring and understanding of all the bank charges across the loan, including interest, valuation etc.
  • Responsible for the reconciliation of the Loans on a monthly basis, including the journal postings for cumulative fx movements within the month on the currency loan lines

The person

  • At Least 3 years’ experience in Accounts and working with within a similar position
  • Ability to self-organise workload
  • Experience of fast-paced environment with high-transactional volume is an advantage
  • A can do attitude to help with business needs such as day to day office management
  • Strong communication skills
  • Attention to detail
  • Excellent organisational skills
  • Clear communicator

If this role is of interest please click apply!

The benefits


Leighton Thomas
Recruitment Consultant
Brewster Partners Recruitment Group


To apply for this job, please send your CV to the email above or to quoting "Vacancy: Treasurer (14 month contract), Reference: LT \ 14373". Thank you for your interest.