Negotiable
Undetermined
Hybrid
Glasgow, UK
Summary: The Finance Coordinator role is a fixed-term position based in Glasgow City Centre, focused on supporting core finance operations within a busy finance team. The ideal candidate will have experience in transactional finance and be comfortable in a high-volume environment. The role involves processing transactional data, managing credit control activities, and assisting with various finance tasks. Initially office-based for training, hybrid working will be available thereafter.
Key Responsibilities:
- Processing high volumes of transactional data and raising associated invoices
- Monitoring and managing a shared finance inbox
- Supporting credit control activities, including chasing outstanding payments
- Allocating cash and reconciling customer accounts
- Assisting with ad hoc finance tasks as required
Key Skills:
- Previous experience in a transactional finance role
- Strong communication and interpersonal skills
- Ability to work independently and as part of a small team
- Strong organisational, numerical, and time management skills
- Proficiency in Microsoft Office, particularly Excel
- High level of accuracy and attention to detail
Salary (Rate): undetermined
City: Glasgow
Country: UK
Working Arrangements: hybrid
IR35 Status: undetermined
Seniority Level: undetermined
Industry: Other
Job title: Finance Co-ordinator (9 month FTC)
Location: Glasgow City Centre
Salary: Dependent on Experience
About the Company
Our client is an established international organisation managing a large portfolio of content and work with a wide range of global partners and clients.
With a collaborative team and international reach, the organisation offers a fast-paced and varied working environment
The Role
We are looking for a Finance Coordinator to join a busy finance team on a fixed-term basis. This position is well suited to someone with experience in transactional finance who is comfortable working in a varied, high-volume environment.
Reporting to the Finance Manager, you will support core finance operations including reconciliations, cash allocation, and credit control.
The role will be office-based initially for training, with hybrid working available thereafter
Key Responsibilities
- Processing high volumes of transactional data and raising associated invoices
- Monitoring and managing a shared finance inbox
- Supporting credit control activities, including chasing outstanding payments
- Allocating cash and reconciling customer accounts
- Assisting with ad hoc finance tasks as required
- Previous experience in a transactional finance role
- Strong communication and interpersonal skills
- Ability to work independently and as part of a small team
- Strong organisational, numerical, and time management skills
- Proficiency in Microsoft Office, particularly Excel
- High level of accuracy and attention to detail
Please send your CV to Rosie Hutcheon, or call 0141 468 6396 via the ‘Apply Now’ option to be considered for the role.