Finance Service Analyst
The Co-Operative Group
In this role, you will support the Sales to Cash workflow within Co-op’s CBS, ensuring accurate cash reconciliations for the food retail banking function. You will help produce balance sheets, develop clear reports, and support process improvements and system changes. Working with the Cash and Banking Manager, you’ll help maintain financial accuracy and enable confident decision-making. This hybrid role combines hands-on reconciliations with collaboration on training and change initiatives, contributing to the Co-op’s mission of value for member owners.
Pay / Benefits- Annual bonus scheme
- 28 days holiday
- Pension with up to 10% employer contributions
- 30% discount on Co-op products
- Stream – early access to pay as you earn it
- Virtual healthcare
- Support with producing balance sheets and identifying and resolving complex reconciliation issues
- Develop user-friendly reports to help resolve reconciliation queries from the food retail banking team
- Collaborate to produce training guides and materials for the wider Sales to Cash team
- Maintain ways of working across the wider team and spot opportunities to improve processes
- Support relevant business change programmes and new system rollouts
- AAT qualification or training towards it
- Experience using reconciliation systems
- Experience using SAP modules (e.g., SAP S/4 HANA, SAP ERP)
- Confidence handling large volumes of transactions
- Strong attention to detail and the ability to understand complex processes
- Good communication and relationship-building skills
- communication
- relationship-building
- attention to detail
- reconciliation systems
- SAP modules (S/4 HANA, SAP ERP)
Reference: WJ-747_30177100