Identifying and resolving balance sheet differences in conjunction with the Finance Accountant on a monthly basis.
Providing financial information for the Finance Accountant to assist in budget preparation, monitoring, forecasting, and controlling expenditures.
Making allocations of overhead costs and direct costs for relevant projects at month-end
Providing a monthly explanation of any discrepancies related to the trading income from the till cash, vouchers and credit cards Assisting on year-end accounts.
Coordinating the year-end file with the Finance Accountant to ensure a smooth process
Providing excellent customer service while being the first point of contact to any direct queries
Required Knowledge, Skills, and Abilities
Previous experience working within a charity is highly advantageous
ACCA or Equivalent or working towards completion is highly advantageous
Ability to priorities and effectively manage workload
Ability to work at a high standard
Great IT, written and verbal skills
Excellent communicator who is emotionally intelligent and has strong interpersonal skills