Primary Responsibilities:
Efficient daily cash management and cash positioning, working closely with Finance Services Operations and other key collaborators.
Efficient and timely payment approvals in the banking platform used by LSEG in the different regions.
Ensure compliance with controls and processes
Ensure all entries are accurately posted by team in the financial accounting system promptly, to assist with the swift reconciliation of bank statements.
Improve auto matching capabilities for robust cash application for real time cash reporting. Implement AI Cash tool with Oracle Fusion to increase auto matching rates.
Lead talent in an open environment! Promote diversity through active team engagement. Develop team to improve on timelier and effective critical issues, to be initiative-taking, problem solvers.
Monitor Daily Statement Uploads into SAP / Oracle are complete.
Prepare GL journal files for Fin Rep to review, load and approve/post.
Leading bank migrations project & new initiatives globally working with Treasury & Other key partners
Follow up on unresolved postings from AP, Treasury, GA & Credit Control
Leading Direct Debit Process across banks
Support the finance teams where volumes are high/resolution complex to ensure group important metric targets and management reporting goals are met.
Ad hoc reporting and requests from Group and/or local finance as require