Prepare and review the monthly management accounts
Maintain fixed asset registers and post monthly journals for recognition of fixed assets
Review the balance sheet every month
Prepare monthly VAT return
Business partnering with key individuals across the trust
Report into the FD
Profile
Experience of preparing financial reports, reconciling control accounts and resolving technical accounting issues
Experience of analysing, interpreting and presenting financial management reports to audiences ranging from those with minimal financial expertise through to key decision makers.
Able to demonstrate technical and operational experience in complex budget management (revenue or capital) through a full financial year or life cycle of a project
Excellent communication and interpersonal skills (verbal and written), able to engage and communicate effectively with a range of stakeholders, building relationships and modifying style as appropriate to the audience
Work proactively, plan and organise own and others' workload, to optimise resources and complete targets within agreed timescales