Save Job Back to Search Job Description Summary Similar JobsA chance to utilise your purchase ledger and reconciliation experienceWork for a growing Not-For-ProfitAbout Our ClientThis is a not-for-profit organisation operating in the accounting and finance sector. As a small-sized organisation, it is committed to delivering impactful services and maintaining financial integrity through efficient processes.Job DescriptionManage daily cash and bank reconciliations with precision and accuracy.Process payments and receipts, ensuring compliance with organisational policies.Monitor cash flow and identify discrepancies, taking corrective actions promptly.Assist in preparing financial reports related to cash and banking activities.Collaborate with internal teams to improve financial processes and controls.Maintain accurate records of transactions and support audits when required.Provide support for other accounting tasks as needed within the department.The Successful ApplicantA successful Cash & Banking Finance Officer should have:Strong knowledge of cash and banking processes within the accounting and finance sector.Proficiency in financial software and Microsoft Excel.Excellent attention to detail and organisational skills.The ability to work independently and meet deadlines effectively.Strong analytical skills to identify and resolve discrepancies.Experience working in the not-for-profit industry is advantageous.What's on Offer£15 - £18 p/h, based on experience.Flexible temporary position with opportunities to expand skills in accounting and finance.Supportive work environment within a small-sized not-for-profit organisation.If you are ready to contribute your expertise as a Cash & Banking Finance Officer, we encourage you to apply todayContactHarry RichardsonQuote job refJN-072025-6784205Phone number+44 207 645 1445Job summaryJob functionAccountingSubsectorPart QualifiedSectorNot For ProfitLocationLondonContract typeTemporaryConsultant nameHarry RichardsonConsultant phone+44 207 645 1445Job referenceJN-072025-6784205