Job Description We’re recruiting for a Finance Reconciliation Specialist to join our Workplace Savings team. This is an exciting opportunity for a recent graduate looking to commence their career in financial services and accounting. We will provide full study support for you to complete an accounting qualification as part of this role. What you'll be doing: Overseeing the daily reconciliation of customer assets (cash and investments) held by Workplace Pension customers Managing the daily upload of data into reconciliation software and ensuring completion by the end of each business day Investigating reconciliation discrepancies and collaborating with colleagues to ensure timely and accurate remediation Maintaining MI and other data to demonstrate a robust audit trail and ongoing regulatory compliance Identifying and resolving issues, logging incidents, and sharing findings and solutions with colleagues Taking responsibility for your own development and keeping your pension knowledge and industry awareness current and relevant