Cashier (12 month FTC)
Core
Process incoming cash, cheques, and electronic payments; allocate receipts and payments within accounting and banking systems; reconcile bank accounts and resolve discrepancies.
Role type
Cashier (Finance)
Builds
Commercial bank accounts and financial records for the insurance group
Domain
Insurance / Finance
Required skills
Cash handling, transaction processing, bank reconciliations, financial administration, numerical accuracy, process adherence, Microsoft Office (Excel, Word, PowerPoint), stakeholder communication
Preferred skills
Office/administrative environment experience, finance-related qualifications
Technologies
Accounting and banking systems, Microsoft Office
Responsibilities
Process incoming cash, cheques, and electronic payments accurately; Allocate receipts and payments correctly within accounting and banking systems; Manage inter-company cash transfer requests; Review payment requests and arrange authorisation; Reconcile bank accounts and system records; Respond to account-related queries promptly
Seniority
Entry-level to Junior