This post is based within the Capital, Corporate and Treasury Management team of the Accountancy section of Finance.
The post is based in the Accountancy Control Team and has responsibilities for assisting with the control and processing of transactions connected to the Council’s banking and treasury activities.
About the job
The candidate will be responsible for processing transactions connected to the Council’s bank account. The candidate will utilise the income management system and undertake reconciliations within the SAP financial system and provide management accounting and monitoring information as necessary in respect to feeder systems. The role will also involve supporting and leading other members of the Control Team on service improvements and projects as required including the wider Capital, Corporate and Treasury Management team.
What We Are Looking For From You
Due to the large volume of transactions involved, candidates must demonstrate good numeracy skills with an organised and methodical approach to work. Experience of working in a financial environment and a good range of IT skills, in accessing and processing financial information, are essential due to the variety of financial systems used in this role.
Effective interpersonal skills are also necessary due to the range of individuals and organisations that you will interact with. The ability to work to strict deadlines is essential due to the volume of transactions and the impact of the team’s work on the financial monitoring position.
Additional information
If you have any concerns around your ability to participate in a virtual interview process or if you would like an informal conversation about this role prior to application, please contact Anthony Hicks (Anthony.hicks2@cardiff.gov.uk) or Anil Hirani (ahirani@cardiff.gov.uk).
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