Treasury Accountant

Ensure effective and efficient notification and recording of all treasury transactions within accounting records and systems in accordance with Company policies and procedures. Key responsibilities cover the following areas:

* To perform Treasury operations and ensure a regular and accurate booking of all Treasury transactions.

* To prepare regular and ad-hoc financial reports required by the organisation, management and outside agencies.

* Provide data for cash planning and exchange risk coverage.

* Preparation of cash flow statements, exchange risk statements and other reports as requested.

* To provide support to other teams within the department as required.

* To perform ad hoc duties as required

Main Accountabilities and Responsibilities:

* To prepare and execute the Treasury operations such as payments, receipts, loans, deposits placement ensuring company procedures and controls are followed.

* To liaise effectively and efficiently with Finance staff on purchase invoice payments and receipts relating to timing and amounts of all sales.

* To authenticate payment requests in compliance with Company policies and procedures.

* To provide effective and efficient cash office service, reconciling cash balances in accordance with Company policies and procedures.

* To carry out the necessary back-office operations covering Treasury activities to ensure that a clear audit trail is maintained and to ensure that external and internal transactions are matched.

* To organise and post Foreign Exchange deals in a timely manner.

* To post daily into the financial ledgers all Treasury transactions (payments, receipts and foreign exchange transactions).

* To carry out monthly reconciliation of the cash books with the Bank Statements and Ledgers in accordance with Company policies and procedures.

* To carry out monthly reconciliation of bank ledgers and other specified general ledger accounts under the control of the Treasury section and submit the Reconciliations to the Head of Treasury for approval

* To maintain the Finance system currency files, distribute currency rates to relevant departments on a monthly basis and file economic and statistical information in a timely manner.

* To provide data for the monthly financial reporting

* To produce regular and ad hoc financial reports as requested by the organization, management or outside agencies.

* To ensure adherence to the Company's Health, Safety & Environment policies, procedures and standards

* To fully comply with the Code of Ethics and Compliance Model

Education & Professional Qualifications:

* University Degree in Accounting, Economics, Business Management or equivalent.

* ACCA/CIMA part qualification is recommended but not essential.

Required Experience and Technical Competencies (relevant experience and technical skills):

* Numerate and computer literate.

* Good working knowledge of Microsoft Excel. Knowledge of SAP system.

* Experience working as an Accountant in the Oil and Gas Industry may be beneficial but not essential.

* Previous Treasury experience would be beneficial.

* Experience of working in a multi-currency environment is desirable.

* High level of accuracy and numeracy.

Our role in supporting diversity and inclusion
As an international workforce business, we are committed to sourcing personnel that reflects the diversity and values of our client base but also that of Orion Group. We welcome the wide range of experiences and viewpoints that potential workers bring to our business and our clients, including those based on nationality, gender, culture, educational and professional backgrounds, race, ethnicity, sexual orientation, gender identity and expression, disability, and age differences, job classification and religion. In our inclusive workplace, regardless of your employment status as staff or contract, everyone is assured the right of equitable, fair and respectful treatment
Company
Orion Group
Posted
01/12/2022
Location
Plymouth, United Kingdom, gb
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