Job Description
The Bank and Cash Controller – Business is responsible for overseeing the firm's banking, cash management, and reconciliation functions to ensure the accurate, timely, and compliant processing of financial transactions. Working closely with internal stakeholders, banks, and regulatory bodies, this role drives effective cash flow management, strengthens financial controls, and supports operational excellence across the business.
In addition to managing banking operations, payments, reconciliations, and cash reporting, the successful candidate will lead and develop a high-performing team, fostering a culture of accountability, accuracy, and continuous improvement. This is an exciting opportunity for a finance professional who enjoys balancing strategic oversight with hands-on operational leadership in a fast-paced environment.
Duties and Responsibilities
• Check and sign off reconciliation of all business cashbo...