RTR Cash & Bank Senior Analyst
We are Reckitt
Finance
About Global Business Services
Behind our iconic power brands that touch millions of lives daily – from Dettol and Lysol to Durex and Nurofen – lies a dynamic and vital engine: Reckitt's Global Business Services (GBS).
Fuelled by a culture of positive energy and co-creativity - while learning together - OneReckitt GBS is at the forefront of our business, driving efficiency, standardisation, and innovation across our global operations. We're a fast-paced, purposeful team, constantly seeking to optimise our processes, leverage cutting-edge technology, and deliver exceptional value to every corner of Reckitt. We’re not a traditional back-office function; we’re a strategic powerhouse where diverse individuals with bright minds come together to solve complex challenges, shape future capabilities, and build a better global business that directly helps achieve Reckitt’s mission.
About the role
As RTR Cash & Bank Senior Analyst, you will ensure accurate and timely execution of cash management and bank accounting activities within the Record-to-Report (RTR) process. You will manage daily bank reconciliations, monitor cash positions, process bank-related journal entries, and maintain compliance with treasury and accounting policies.
Your day-to-day includes validating bank statements, investigating unreconciled items, supporting cash forecasting, and ensuring audit-ready documentation. You will leverage ERP tools to streamline processes, reduce manual interventions, and contribute to automation initiatives that enhance efficiency and control.
Your responsibilities
• Perform daily bank reconciliations and resolve discrepancies promptly
• Post cash-related journal entries and ensure compliance with close timelines
• Monitor cash positions and support short-term cash forecasting
• Investigate and clear open items in bank accounts, providing clear documentation
• Maintain audit-ready workpapers for cash and bank activities
• Collaborate with Treasury and AP/AR teams to ensure accurate cash flow reporting
• Contribute to process improvements and automation initiatives
• Ensure adherence to internal controls and global accounting standards
The experience we're looking for
• Experience in cash management, bank accounting, or RTR processes (shared services/global exposure preferred)
• Working knowledge of bank reconciliations, cash flow reporting, and journal processing
• Proficiency with ERP systems (e.g., SAP S/4HANA) and strong Excel skills
• Understanding of internal controls and audit requirements
• Analytical problem-solving with attention to detail and time management
• Clear written and verbal communication for documentation, reporting and stakeholder management
• Proven ability of driving efficiency and continuous improvement mindset
The skills for success
What we offer
Equality
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