Responsible for ensuring the integrity and efficiency of financial transaction processing and procedures related to a defined group of stakeholders (vendors and staff)
Maintain the stewardship of resources within the organisation
Service internal and external stakeholder needs by ensuring adherence to policy and procedures
Manage the development of finance team processes and people
Support the identification and management of risk within financial activities
Ensure suppliers, staff and volunteers are processed and paid accurately and on time for the services and support they provide
Ensure cashflow is managed to enable liquidity alongside maximising returns to be reinvested in charitable purposes
Requirements
A proactive and collaborative individual with strong technical expertise and a people‑centred approach
Near‑qualified or finalist accountant (AAT, ACCA/CIMA/ICAEW or equivalent experience)
A solid understanding of accounting principles
Hands‑on experience across financial transactions, reconciliations, journals, and month‑end processes
Motivated by delivering an accurate, efficient and continually improving finance service
Demonstrates robust attention to detail
Commitment to good stewardship of resources
Confidence in supervising control procedures to support strong financial governance
Benefits
We offer excellent staff benefits including a generous pension contribution
An employee assistance programme
Healthcare cash plan
Volunteer leave
25 days holiday plus Bank Holidays and an additional 3 days paid leave between Christmas and the New Year