Aztec Group
Finance Operations Specialist - Cash & Banking (6 month contract)
Southampton
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- Seniority
- Mid level
- Country
- GB
- Work mode
- On-site / unstated
- First seen by hirly
- 30 Sept 2026
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the posting
At Aztec, we’re committed to building and nurturing a diverse and inclusive workforce where everyone feels valued, respected, and able to grow. We know that different backgrounds, perspectives, and experiences strengthen our business and we welcome applications from all individuals. So, if your experience doesn’t exactly match with every part of the job description, but you are excited about the role, we would still like to hear from you. If you are passionate, curious, innovative and data driven, you could still be a good fit.
About the role:
Reports to the Finance Manager Finance Operations
We are looking for an ambitious and motivated individual to support the continued growth in our business, through the provision of timely and accurate delivery of balance sheet reconciliations and cashflow and cash management in accordance with statutory and regulatory frameworks.
Key responsibilities:
Responsible for all aspects of all Group Bank Reconciliations for the Aztec Group across multiple banks and jurisdictions ensuring the integrity, accuracy, and timeliness of all deliveries
Proactive management of cash and bank processing ensuring outstanding and unreconciled items are minimised with no delays
Proactive delivery of cash movements to deliver inter-company transactions ensuring completeness and coordination
Ownership of inter-company loan and dividend transactions
Ownership and close monitoring of daily bank balances and short term cash planning and identification of funding requirements
Planning and project management of all Treasury and Banking activities including supporting the management of the ASL
Cash reporting weekly and as required, including payment planning
Ownership of Aztec Credit Card programs and required transactions
Support bank platform requirements including user management and approver planning.
Skills, knowledge, expertise:
The candidate will be expected to be part qualified or studying toward a relevant professional qualification (ACCA, ACA, CIMA or equivalent)
Relevant experience in Finance and accounting with a focus on cash management and collections
Experience of producing thoughtful and relevant management information
Good Excel skills essential, system experience of Workday Financials Concur, and banking Platforms beneficial
Excellent interpersonal and communication skills required to develop close working relationships with colleagues, internal customers and business contacts.
Ability to self-motivate, be proactive and take ownership, combined with a team-work mentality vital
We understand that everyone has different needs, and that’s why our employee package includes a variety of benefits. In addition to a competitive salary, here are some examples of the benefits that we may offer for our permanent roles:
- Discretionary bonus scheme
- Flexible, hybrid working
- Ability to work abroad for up to 3 weeks per annum
- Generous holiday allowance
- Pension scheme
- Private medical insurance, including eye care
- Life assurance (death in service and critical illness benefit)
- Worldwide travel insurance
- Health and wellbeing programmes
- On-site parking
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