Conduct daily P&L reporting and month-end close processes. Review and verify the profit and loss attribution. Handle various ad-hoc requests on a daily basis.
Reporting To: *Head of Partnerships. We’re responsible for sourcing new cashback deals and delivering value to our members and partners alike.
Where required liaise with PA’s and the Risk team to ensure all systems contain complete, up-to-date billing information (i.e references and purchase order…
My client is a boutique Independent Financial Advisory Firm with offices in the City, near Bank, and they are looking for someone who wants to kick-start their…