EU remote
Junior Finance Assistant
About this role
Who we’re looking for: Someone early in their finance career with solid transactional experience, strong attention to detail and a genuine ambition to develop into a broader accounting role. The challenge: We need someone who can take ownership of core finance processes while working through discrepancies and improving processes in a fast-moving, evolving environment. Where you’ll work: This role will be based in our Hove office 2 days a week 🏢 The Tillo Difference We're in the business of rewards and incentives, so we know a thing or two about the importance of giving back.
We can't grow as a business without growing as individuals, so we are committed to providing a workplace where passionate, driven individuals can thrive. We value collaboration, trust, positivity, and a willingness to learn - only by working as a team will we reach our goals. We’re the market leader in the UK and are active in a number of other markets including USA, Europe, Australia and India. 🌎 Job Summary: The role of Tillo’s Finance Assistant will contribute significantly to building a finance team that is operationally fit for purpose for a fast growing, Private Equity backed FinTech business.
Focusing on delivering excellent service to customers, suppliers & business stakeholders. Day to day this role will Own daily banking reconciliations across group bank accounts in GBP, EUR, USD, and multiple other currencies, spanning several legal entities - ensuring bank balances are understood and accurate, payments are made on time, and inter-company transfers are coded correctly Process and reconcile multi-currency transactions at pace, applying sound judgement Produce monthly fixed and variable sales invoices across the group, ensuring billing is accurate, timely, and reconciled to the underlying revenue data Serve as a trusted first point of contact for finance queries from customers partners, and internal teams - investigating the root cause of discrepancies and implement process change if needed Manage accounts payable and receivable across multiple entities, keeping ledgers clean and suppliers and customers informed Take full ownership of monthly balance sheet reconciliations across all assigned accounts.