This is a highly skilled position within the finance team, focusing on ensuring effective operation of financial functions.
Key Responsibilities:
* Assist with preparation and management of revenue recovery tax and value added tax on capital projects.
* Support the management of creditor ledger, guaranteeing accurate recording of expenditure against cost headings and program budgets.
* Enter income received from fundraising and rental income in debtor ledger.
* Prepare returns to revenue for review by accountant/head of finance.
* Assist with the review and monthly reconciliation of petty cash and soldo cash cards.
* Ensure adherence to internal financial controls regarding purchasing and authorisation of expenditure.
* Prepare financial returns of income and expenditure for cost centers and funding agencies.
* Provide bi-weekly financial reporting of issues to head of finance.
* Assist with annual financial audit of organisation.
Required Skills and Qualifications:
* Part-qualified accountant or accounting technician.
* EU passport/stamp 4 visa.
* Relevant business degree or equivalent.
* Experience in accounting software and excel.
* Strong financial controls ethos.
* Experience in not-for-profit sector and knowledge of charities sorp desirable.