This is a fantastic opportunity to join a global insurer who are well established within the London market. You would be working within a very friendly and supportive team with excellent staff culture.
Broadly, you will be responsible for multi-currency syndicate cash management, the maintenance of ledgers, reconciliations, and assisting with the production of financial reports.
Processing purchase ledger invoices,
Assisting with month end processing,
Completion of bank reconciliations,
Production of weekly cash flow analysis,
Maintenance of general ledgers for the managed syndicate,
Organising meetings when required,
Assisting in production of internal and external reports,
Processing journals to the accounting ledger.
This role is well suited to someone with a few years’ experience in a similar role who is looking to take the next step in their career.
Experience within the insurance industry a bonus - but not essential as full training will be provided.