Our professional service teams play a vital role in supporting businesses by providing specialised expertise and assistance for our brands. Our Cash Management team is a key part of our Finance function and offers business support in both Cash Management and Treasury services. If you have high attention to detail, thrive in a customer centric and deadline driven environment, and want to develop your career within finance this could be a great opportunity for you.
Saint Gobain Professional Services are part of Saint-Gobain UK & Ireland who are worldwide leaders in sustainable construction.
This role can be worked on a hybrid basis with a minimum of two days in the office required per week
What we’re looking for:
This is a vital service for our businesses and relies on a dedicated team to process, record and reconcile bank transactions and payment ensuring the accuracy and timely measures are met. Some experience in finance whether through education or industry would be an advantage but the most important success factors for the role are your attributes:
Strong communication skills communication skills. High level of accuracy & strong numeric skills. The ability to identify and resolve problems. Strong adherence and awareness of internal controls. Results oriented with the ability to prioritise workload to meet deadlines. Customer focused approach. Resilience, energy and enthusiasm to achieve goals.What you will be doing:
Day to day you will support your aligned customer with a range of payment tasks from complex, ad hoc and scheduled payments to payroll and overseas transactions. You will make sure the bank reconciles on a daily basis and assure that all reporting is accurate and timely to promote system integrity. You will also get involved in reports and hedging analysis as well as more in depth month end reporting and reconciling. On top of your day to day duties it will be important to collaborate with other departments and provide an excellent service to our internal clients adding value with your support.
Accurate daily recording of all bank transactions into the cash book for reconciliation. Adequate daily FX analysis. Overall responsibility for the preparation of domestic, overseas and intercompany payments. Actively follow internal controls, promoting best practice and critical eye within the function, SSC and to all SSC customers. Accurately record all the intergroup current account movements. Preparation of monthly reconciliations and reporting.