Finance Assistant
Hybrid · Peterborough, England, United Kingdom
Job Summary
Finance Assistant on a 14-month Fixed Term Contract to support the Finance team with accurate accounting information and reporting. Responsibilities include transactional reconciliation across systems, policy and customer administration (reconciling policyholder accounts, issuing cheques and refunds, reconciling payments), financial reporting support (bank reconciliations, resolving differences), month-end activities (posting journals, balance sheet reconciliations), accounts payable/receivable processing (expenses and supplier invoices, timely payments), and contributing to broader business activities and ad hoc projects. Requires experience in a finance or accounting role, proficiency in Excel, strong interpersonal and collaboration skills to work with stakeholders, and a focus on financial controls and customer service within the insurance context.
Required Qualifications
- Experience in finance or accounting role
- Proficiency in Microsoft Office Suite, particularly Excel
- Ability to collaborate with stakeholders and meet deadlines
- Understanding of financial controls and processes
- Customer-focused and proactive in issue resolution
- Ability to post journals and support balance sheet reconciliations
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