Job Description
We are seeking a highly organized and detail-oriented Finance Cash Flow Coordinator to join our team.
The ideal candidate will have 3+ years of experience in Accounts Receivable and Treasury, with a focus on the Construction Industry.
This role is responsible for managing daily cash flows, reconciling bank accounts, and ensuring sufficient funds for business requirements.
* Reconcile bank statements and resolve any discrepancies.
* Monitor cash flow to ensure timely payment of invoices.
* Issue daily reports to management on cash flow and account balances.
Required Skills and Qualifications
To be successful in this role, you must possess:
* Excellent organizational and time management skills.
* Strong communication and interpersonal skills.
* Able to work independently and as part of a team.
* Proficient in financial software and systems.
Benefits
As a Finance Cash Flow Coordinator, you will enjoy a competitive salary, benefits package, hybrid working model, private healthcare allowance, and opportunities for professional development.
About Us
We are a leading global specialist engineering and construction company that improves life by delivering world-class infrastructure. Our team works together as 'One Murphy' to deliver projects successfully.