





Tier-1 brand, generalist finance senior role, metro location, and unspecified experience creates high competition.
Requires client money rules and FCA reporting, reducing cross-industry transferability.
No explicit years but requires reconciliation and FCA/CASS knowledge, implying moderate shortlisting strictness.
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Accountable for delivering bank reconciliations, maintaining accurate accounting records, and monitoring Client Money accounts adherence to CASS rules.
Produce monthly Client Money and Asset Returns for the FCA and manage cash balances including foreign currency.
Administer bank account setups, maintain signatories and mandates, and ensure cash flow knowledge across the Group related to business changes.
Experience in finance with a focus on reconciliations and accounting processes.
Knowledge of client money rules (CASS) is an advantage but not mandatory.
Ability to work independently and demonstrate good planning, organisational, and communication skills.
Work Experience Required: Not explicitly mentioned in the JD. Notice Period: Not explicitly mentioned in the JD.
Experienced in managing financial reconciliations and compliance within regulated environments (FCA Client Money rules).
Detail-oriented with the ability to manage multiple reconciliations and reports accurately under predefined processes.
Capable of administering banking operations and understanding cash flow impacts linked to business changes.