Temporary Assistant Treasury Analyst - Workday

Marc Daniels

Remote-friendly

A temporary position to clear a back log of bank reconciliations and journal entries.
Must have good working knowledge of Workday in a transactional finance/Treasury setting.
High volume postings, the ability to unpick complex queries, excellent attention to detail and strong communication skills.
Circa 3 month temporary role to start ASAP, on site 2 days a week, based in North London.



Cash Management & Treasury Operations

  • Monitor daily cash balances across all bank accounts.
  • Prepare and maintain short-term and long-term cash flow forecasts.
  • Manage cash positioning activities to ensure sufficient liquidity for operational requirements.
  • Assist in the execution of fund transfers, intercompany funding, and investment activities.
  • Support treasury projects aimed at improving cash management and banking efficiency.


Bank Transaction Processing

  • Download and review daily bank statements.
  • Post and reconcile bank transactions accurately within the ERP or accounting system.
  • Process receipts, payments, direct debits, standing orders, and bank fees.
  • Investigate and resolve unreconciled items and banking discrepancies.
  • Ensure all bank transactions are recorded in a timely and accurate manner.
  • Maintain supporting documentation and audit trails for all treasury transactions.


Bank Reconciliations

  • Perform daily, weekly, and monthly bank reconciliations.
  • Identify, investigate, and resolve reconciling differences.
  • Work closely with Accounts Payable, Accounts Receivable, and General Ledger teams to resolve outstanding items.

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