Finance Associate managing account reconciliation and ledger management for Marsh's Fiduciary team. Building relationships with clients and stakeholders while ensuring accuracy in financial operations.
Responsibilities
Be responsible for account reconciliation and ledger management.
Raise and send payment requests.
Investigate and resolve any unmatched cash issues/financial exposures.
Credit control activities.
Work out different tax/commission rates.
Act upon payment conditions and deadlines as appropriate.
Produce and deliver information and documentation in line with requirements.
Develop strong working relationships with internal and external stakeholders.
Requirements
Good level of education with clear strengths in numerical and potentially accounting related subjects.
Exceptional numeracy skills, with demonstrable experience of working with figures.
An inquisitive mind set with excellent problem-solving skills.
Strong organisational skills with the ability to deal with differing demands.
A passion for delivering excellent service to external and internal clients.
High level of accuracy with impeccable attention to detail.
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