Head of Finance
- Recruiter
- HAYS
- Location
- United Kingdom
- Salary
- 15.00 GBP Hourly
- Posted
- 19 Oct 2025
- Closes
- 14 Nov 2025
- Sector
- Fundraising
- Role
- Finance
- Contract type
- Fixed Term
Finance Assistant
Position: Finance Officer
A well–established organisation is seeking a Finance Officer to support the day–to–day financial operations and contribute to the development of a robust and efficient finance function. This role reports to the Finance Director and plays a key part in ensuring financial accuracy, compliance, and effective reporting.
Key Skills & Experience
- Strong understanding of VAT schemes, including partial exemption and EU VAT.
- Experience working within the charity or non–profit sector.
- Highly organised, detail–oriented, and self–motivated.
- Excellent written communication and administrative skills.
- Ability to work independently while also collaborating effectively within a team.
- Strong interpersonal skills for engaging with internal and external stakeholders.
- Proven ability to manage multiple priorities and meet deadlines.
- Discretion and experience handling confidential information.
- Willingness to undertake relevant training and professional development.
- Proficiency in accounting software (e.g., Sage) and payroll systems.
- Advanced IT skills, particularly in Excel.
- Full driving licence preferred.
- Open to applications from graduates or apprentices working towards AAT or equivalent qualifications.
- Manage payroll and pension processes, ensuring timely and accurate submissions.
- Process purchase ledger invoices, expenses, and credit notes.
- Prepare and post supplier payment runs in multiple currencies.
- Reconcile supplier statements and bank accounts, resolving discrepancies.
- Monitor donor and membership schemes, reporting to relevant teams.
- Reconcile credit card accounts and allocate expenditure appropriately.
- Reconcile card sales transactions.
- Identify and process Gift Aid claims.
- Maintain grant management systems to support reporting and cash flow planning.
- Manage petty cash and onsite cash during events.
- Chase outstanding payments and manage overdue accounts.
- Generate sales invoices and allocate receipts.
- Maintain the Fixed Asset Register.
- Prepare quarterly VAT returns.