Reconciliation Analyst at Pear Tree Recruitment
Bath, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

17 Sep, 25

Salary

28000.0

Posted On

17 Jun, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Communication Skills, Cass, Regulations

Industry

Financial Services

Description

RECONCILIATIONS ANALYST

  • Bath
  • £24,570 - £28,000
  • Permanent
    Do you have financial services experience and knowledge (particularly CASS)?
    Do you feel comfortable working with financial data?
    We’re working with an award-winning company based in the heart of Bath who are currently looking for a Reconciliations Analyst to join their friendly team. This is a great time to join a company going through positive growth, in a role that is instrumental to the continued success of the company.
    You will be working in a team undertaking daily reconciliation of client money accounts and ensuring strict compliance with company standards and industry regulations.

SKILLS AND EXPERIENCE REQUIRED:

  • Financial services experience and/or industry-related qualification
  • Knowledge of CASS, in particular CASS 6 and 7 regulations
  • Strong attention to detail and organisational skills
  • Excellent communication skills and attention to detail
    If the above feels like the next challenge that you are looking for, please apply today!
    Job Types: Full-time, Permanent
    Pay: £24,570.00-£28,000.00 per year

Additional pay:

  • Performance bonus
  • Yearly bonus

Benefits:

  • Company pension
  • Employee discount
  • Work from home

Schedule:

  • Day shift
  • Monday to Friday
  • No weekends

Ability to commute/relocate:

  • Bath (Somerset): reliably commute or plan to relocate before starting work (required)

Work authorisation:

  • United Kingdom (required)

Work Location: In perso

Responsibilities
  • Daily reconciliation of client accounts, checking for anomalies and investigating when required
  • Processing and checking volumes of data and figures received from clients
  • Dealing with internal and external payments to ensure they are compliant and processed in line with industry regulations
  • Completing checks on bank accounts and uploading payments
  • Creating reports for review by the senior management team
  • Dealing with enquiries from both internal stakeholders and external client contacts
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