This role is working for a well known local organisation within their large finance team. Reporting to the Finance Manager, you will be within a smaller team of five managing the treasury transactions. The team are a hard-working and focused group with an excellent culture and atmosphere.
Day to day, the role will involve reconciliation, posting to journals, cash flow monitoring and allocating transactions to the ledger. There is a large amount of work on Excel as well as the in-house accounting system.
You will have recent and relevant accounting experience in a similar role coupled with strong IT and communication skills.
This role is full-time and office based in the East / North Hull area.
There is free parking on site.
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