Assist with the maintenance, input, updating and reconciliation of computerised budgetary control systems. This involves developing spreadsheets and databases for specific purposes and undertaking enquiries on several financial based systems
Assist in all aspects of supplying financial information to key stakeholders including non-financial staff when requested
Meet with relevant stakeholders on an on-going basis advising on the current financial position
Working as a finance team, adopting a task-based approach to workload, which will be co-ordinated by Senior Accountants and Accountants
Ensure every process has an accurate procedure note that can be interpreted by both finance and non-finance colleagues
Provide guidance and interpretation of the Trust’s Financial Procedures, Scheme of Delegation, Standing Orders and Standing Financial Instructions where necessary
Contribute to the effectiveness of accounting systems, processes and procedures and make recommendations to reduce costs and enhance value
Required Knowledge, Skills, and Abilities
AAT Qualified or equivalent accounting experience
Knowledge of Microsoft Excel and Word
Previous experience within a comparable role in a busy management accounts / finance team