Bookkeeper - fin services
- Recruiter
- Tiger Recruitment
- Location
- Central London
- Salary
- £30000 - £40000 per annum
- Posted
- 08 Jan 2022
- Closes
- 02 Feb 2022
- Ref
- DMBOOKKEEPER
- Contact
- David Morel
- Job Title
- Customer Services
- Industry Sector
- Banking / Finance
- Contract Type
- Permanent
- Hours
- Full Time
My client is a boutique financial services company based in the heart of the West End, SW1. They are looking for a bookkeeper with some prior experience to join their high achieving team and report into the Financial Controller.
Day to day duties will include but are not limited to the following:
• Maintenance of fund cashbooks, including daily reconciliations of fund cash movements and the split of principal and interest
• Working with the administrator to ensure all purchase invoices are appropriately recorded and paid on time
• Assisting in the provision of regular updates to the team on cash capacities and liaising with the administrator to ensure all reported cash balances are correctly stated
• Supporting asset fundings and repayments, helping to ensure key procedures are followed
• Maintenance and reconciliation of debt facilities on the loan book system, monitoring interest payments and rollovers and arranging drawdowns
• Uploading documents to the Investor Portal and ensuring contact and distribution lists are kept up to date
• Assisting the Financial Controllers and administrator in the production of calls and distributions notices
• Supporting the Financial Controllers in monitoring principal and interest transactions impacting the portfolios. Assisting the finance team on ad-hoc tasks as directed.
Day to day duties will include but are not limited to the following:
• Maintenance of fund cashbooks, including daily reconciliations of fund cash movements and the split of principal and interest
• Working with the administrator to ensure all purchase invoices are appropriately recorded and paid on time
• Assisting in the provision of regular updates to the team on cash capacities and liaising with the administrator to ensure all reported cash balances are correctly stated
• Supporting asset fundings and repayments, helping to ensure key procedures are followed
• Maintenance and reconciliation of debt facilities on the loan book system, monitoring interest payments and rollovers and arranging drawdowns
• Uploading documents to the Investor Portal and ensuring contact and distribution lists are kept up to date
• Assisting the Financial Controllers and administrator in the production of calls and distributions notices
• Supporting the Financial Controllers in monitoring principal and interest transactions impacting the portfolios. Assisting the finance team on ad-hoc tasks as directed.