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    <title>Interim Finance Control &amp;amp; Reconciliations Lead - Randstad Finance RSS Feed</title>
    <link>https://jobs.co.uk/job/interim-finance-control-amp-reconciliations-lead-randstad-finance--24446522-50c4-4c83-8252-287e1bf44adc</link>
    <description>RSS feed for Interim Finance Control &amp;amp; Reconciliations Lead at Randstad Finance.</description>
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    <lastBuildDate>Thu, 11 Jun 2026 02:42:49 GMT</lastBuildDate>
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      <title>Interim Finance Control &amp;amp; Reconciliations Lead - Randstad Finance</title>
      <link>https://jobs.co.uk/job/interim-finance-control-amp-reconciliations-lead-randstad-finance--24446522-50c4-4c83-8252-287e1bf44adc</link>
      <guid>https://jobs.co.uk/job/interim-finance-control-amp-reconciliations-lead-randstad-finance--24446522-50c4-4c83-8252-287e1bf44adc</guid>
      <pubDate>Sun, 17 May 2026 23:00:00 GMT</pubDate>
      <description>Location: Leeds | Salary: &amp;pound;220 - &amp;pound;260/day umbrella, hybrid | Type: Temporary | We are partnering exclusively with a leading business services provider, in their search for an Interim Finance Control &amp; Reconciliations Lead. This is a 3-month temporary role (with a high likelihood of extension) based in Leeds offering a hybrid working model (3 days in office) and a day rate between -220 to -260 per day via umbrella.   The Role   You will provide immediate capacity to a busy finance team supporting a large public sector contract. This is a hands-on, proactive role focused on strengthening daily business-as-usual operations, ensuring stringent reconciliations are met , and supporting urgent year-end audit requirements.   Key Responsibilities     Reconciliations:  Perform daily and monthly bank, revenue, and cash banking reconciliations to meet strict Service Level Agreements (SLAs).   General Ledger:  Prepare and manage General Ledger (GL) and balance sheet reconciliations.   Audit Support:  Support external audit remediation by gathering evidence and addressing queries before the March 31st year-end deadline.   Financial Operations:  Assist with month-end close tasks, including Direct Debit, credit card, and payment reconciliations.   Process Improvement:  Ident...</description>
      <category>Temporary</category>
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