About this role
Cash Management Analyst - 12 month FTC
Acrisure is reimagining financial services as a global fintech leader, providing intelligence‑driven solutions across insurance, reinsurance, cyber services, mortgage orientation, and more. Organized by region and specialty, Acrisure has grown its revenue from $38 million to over $4.2 billion in approximately ten years and employs over 16,000 colleagues across 1,000+ locations in 21 countries.
Job Specification Key Responsibilities
• Accurately process and post all daily receipts within agreed timescales. • Maintain and update the daily cash book, ensuring all balances are accurate and reconciled. • Process outgoing payments from client accounts, ensuring all payments are authorised in line with internal controls and approval procedures. • Prepare and circulate daily payment approval emails to management in a timely manner. • Complete daily bank reconciliations across multiple bank accounts and currencies. • Investigate and resolve banking and payment-related queries efficiently. • Support the wider finance team with cash management activities and ad hoc banking investigations. • Ensure all activities are completed in accordance with company policies, compliance requirements, and financial controls.
Key Skills & Competencies
• Strong attention to detail with a high level of accuracy in financial processing. • Ability to prioritise workload and manage multiple deadlines in a fast-paced environment. • Good understanding of cash management principles, banking processes, and financial controls. • Experience using financial systems, banking platforms, and reporting tools. • Strong analytical and problem-solving skills, particularly in resolving payment discrepancies and banking queries. • Effective communication and interpersonal skills, with the ability to work collaboratively across teams. • Competent working with Microsoft Excel and financial data. • Ability to work independently while maintaining high standards of accuracy and control.
Desirable Experience
• Previous experience within a finance, treasury, or cash management role. • Experience working with multi-currency bank accounts and reconciliations. • Understanding of client money handling processes and compliance controls.