Date Posted:
2025-01-30
Country:
United Kingdom
Location:
Fore 1, Fore Business Park, Huskisson Way, Stratford Road, Solihull, B90 4SS
Position Role Type:
Unspecified
Responsibilities
1. Complete daily bank reconciliation and ensure reconciling items are kept to a minimum.
2. Undertake month end close process including: Ensuring all cash postings are complete and accurate for the month, and all loan balances and interest postings are accurately reported.
3. Support disbursements process by approving payments in various bank portals daily.
4. Maintain the bank universe ensuring any new bank accounts are listed/ inactive bank accounts are kept to a minimum.
5. Keep the bank registry updated for leavers/ joiners.
6. Process Bank workflows to ensure bank access is maintained.
7. Quarterly certify the Bank registry.
8. Monthly prepare cash forecasts.
9. Weekly prepare payments forecasts.
10. Support the intercompany settlement programs.
11. Cash pool reconciliations.
Equal Employment Opportunity
RTX adheres to the principles of equal employment. All qualified applications will be given careful consideration without regard to ethnicity, color, religion, gender, sexual orientation or identity, national origin, age, disability, protected veteran status or any other characteristic protected by law.
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