Investment Services Administrator

Job reference RA2593

Job summary

ReAssure are recruiting an Investment Administrator to join our Cash Management and Reconciliation Team  within Investment Services. The position will be based in Southampton on a 12 month FTC basis. This vacancy represents an opportunity to join an ambitious organisation, within an ever-changing environment where you will discover the potential to perform and grow.

You will be responsible for a variety of tasks relating to our customer’s payments, in addition to reconciling cash at policy level. 

Key responsibilities will include:

  • Dealing with payments to our customers.
  • Dealing with and identifying payments received  from our customers.
  • Carrying out monthly reconciliations together with linked daily tasks.
  • Query resolution
  • Root cause analysis

 Key skills/experience required:

  • Ability to communicate information to varied audiences
  • Aptitude for problem solving
  • Strong analytical and numerical skills
  • Excellent teamwork
  • Strong attention to detail
  • Ability to work under own initiative
  • Computer literate, including knowledge of Excel.

Originally founded in 1963, ReAssure is a life and pensions company which buys and administers closed books of business from other companies. Built on a 2500 strong team with a wide range of skills and experience, there’s one constant running through the ReAssure business – ‘Change’. Join us and you’ll have opportunity to drive our growth and progress through your own success.

ReAssure is an equal opportunities employer. We celebrate diversity and are committed to building a team that represents a variety of backgrounds, perspectives, and skills; and creating an inclusive environment for all employees.

Job category/type
Customer Services/Fixed Term Contract

Location
Southampton

Date posted
09/09/2020

Application closing date
23/09/2020

Applications for this vacancy have now closed