Our client, a renowned company in the insurance sector, is currently seeking a Finance Administrator with expertise in Bank Reconciliations and Accounts Payable to join their team in Eastleigh. This is a permanent and full-time opportunity where you will provide vital support to the Financial Operations teams and manage AIL bank accounts.Key Responsibilities:Perform daily bank reconciliations for allocated accounts, ensuring all unreconciled items and queries are investigated using Aurum software.Handle routine monthly payments and maintain associated reconciliations, escalating issues as necessary.Support the ingestion of supplier invoices, assisting with queries to ensure timely payment.Provide support to the wider Cash Management team when required.Maintain effective communication within the Financial Operations management team and peer group.Job Requirements:Strong numeric skills and attention to detail for handling large data volumes and conducting accurate reconciliations and money allocations.Proficient in Microsoft Office, particularly Excel, for various job functions.Experience in a finance environment is desirable but not essential.Positive attitude towards flexibility and openness to change.Benefits:Flexible working arrangements including smart working and flexible hours.A minimum of 35 days holiday (including bank holidays), with options to buy and sell days.Health-related benefits including Dental Insurance, Health Cash Plan, and Health Screening.Well-being ..... full job details .....