Why apply for this role?
Competitive salary package
Hybrid working model – 3 days WFH
10% Pension contribution
Strong career progression opportunities within finance
Supportive and collaborative team environment
Ongoing training and development opportunities
Opportunity to contribute to process improvement and growth strategy
“An exciting opportunity has arisen for a Treasury Administrator to join a leading pensions consultancy in Belfast. This role offers the opportunity to develop specialist treasury and financial administration experience within a highly respected and award-winning organisation, working closely with pension scheme assets, cash management, reconciliations, and client reporting while contributing to the continued growth of the business.”
About the Job
The successful candidate will be responsible for assisting with and completing the following duties:
Prepare pension scheme cashflows and process investment transactions in line with scheme requirements Process invoices, member payments, and monthly payrolls across a portfolio of pension schemes Investigate and resolve discrepancies between financial records, bank accounts, and internal ledgers Prepare and distribute reports to Scheme Administrators, Client Managers, and external stakeholders Complete monthly bank reconciliations, ensuring accuracy and timely completion Apply company policies and procedures in the processing, handling, and recording of cash receipts and disbursements Prepare, collate, and process payments accurately and within agreed deadlines Support the setup and ongoing administration of trustee bank accounts, maintaining accurate records on internal systems Attend internal and external meetings, ensuring actions are completed and project deadlines are met Maintain compliance with internal controls, company procedures, and regulatory requirements Support the Treasury Team and wider business with ad hoc administrative and project-based activities as required
Your Skills & Experience
Up to two years’ experience working within a busy commercial, finance, administration, or treasury environment Strong knowledge of Microsoft Office applications, particularly Excel Excellent written and verbal communication skills, with the ability to communicate effectively with internal and external stakeholders Strong numerical skills supported by relevant educational qualifications Understanding of internal controls, business processes, and compliance requirements Ability to investigate issues, identify solutions, and resolve discrepancies accurately Excellent organisational skills with strong attention to detail Ability to manage multiple priorities and meet deadlines in a fast-paced environment Strong team-working skills with the ability to build effective working relationships across the business A proactive attitude and willingness to learn and develop within a specialist treasury environment
For further information on this opportunity or if you are considering the next step in your career, get in touch with Ollie Mairs at HireIQ in complete confidence.
Benefits:Work From Home
WHJS1_NI
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