Nationwide Building Society

The project includeddetailing transactions to interface from APAK loan administration package to OLAS General Ledger. Finance representative on a multi-disciplined team tasked with implementation of the APAK project. Outline of Banking specification for APAK system, investigating interfaces with corporate banking and accounts payable, transactions to include cheques in / out; Direct Debits / Credits; Chaps payments.

A second project included writing a user specification for introduction of a Property Management Database, including a full accounting suite. Specific tasks to perform: write up current accounting system; question operational management regarding their needs; communicate with group finance to ensure compatibility with existing systems of reporting; keep Internal Audit informed to ensure compliance with best practice.