Financial analysts play a vital role in the Client Funds team, ensuring the efficient reconciliation of millions of customer transactions annually.
Key Responsibilities:
* Develop and maintain crucial reports for the control environment of the Client Funds team.
* Provide technical guidance and cross-training to team members.
* Translate business needs into specifications for new reconciliations and reports.
* Create reporting for the Client Funds team, including KPI reports and daily outstanding/ageing reports.
* Serve as the team's administrator for reconciliation software.
* Assist with facilitating Client Funds month-end procedures.
* Support Reconciliation Analysts in performing daily controls.
* Lead on delivering projects impacting Client reconciliations.
* Foster effective communication with Reconciliation Managers and internal stakeholders.
The ideal candidate will have a strong educational background, enthusiasm to learn, and a proactive approach to work. They will also possess knowledge of ETL tools like Alteryx and proficiency in standard IT packages. A working knowledge of reconciliation software and skilled SQL writing are essential. The role requires a high level of attention to detail, trustworthiness, and proactivity.
We Offer:
* A flexible employer valuing work-life balance.
* An excellent benefits package, including an enhanced pension scheme, life assurance, income protection, and personal development opportunities.
* A recognition program and electric car scheme.
We strive to be an inclusive employer, encouraging people from diverse backgrounds to apply. Everyone brings unique perspectives and experiences – you don't need to meet all the requirements listed to apply.