An exclusively office-based role, with minimal travel to support events
Salary:
31, 067 FTE, pro-rata 2 days a week & contributory pension scheme
Days worked
: 2 days a week, Wednesday and Thursday. 2-year fixed term contract.
The role
Reporting to the Finance Manager, the Finance Coordinator is responsible for supporting all the day-to-day finance functions of the Trust. They will deputise for the Finance Manager to run payroll and monthly reporting if required.
Responsibilities
1.
Accounting Records
Using QuickBooks Online, maintain detailed records of all financial transactions of the Trust, including:
Make and record all payments of bills/invoices
Record all receipts of income from donors, Trusts, workshop participants and customers (prisons and other secure premises)
Raise invoices to prisons for services (yoga classes, books and CDs) and ensure prompt payment thereof
Reconcile bank accounts
Manage and reconcile petty cash
2.
Payroll
Using Quickbooks Payroll run the monthly staff payroll
Maintain employee records needed to run payroll, and process HMRC required paperwork regarding changes in staff - starters or leavers
Make timely submissions and payments to HMRC and NEST (Pension Provider)
Respond/process communications from HMRC regarding payroll including Coding notices
Prepare year end returns for HMRC and P60's for staff
Working with the Director/Treasurer, maintain records of the Trust's payscales and advise staff of cost of living or scale increases in pay.
Keep NEST records updated including auto enrolment for new staff
3.
Banking
Deposit donation and grant cheques on a timely basis to CAF Bank account.
Liaise with the Trust's bankers (primary bank is CAF Bank Ltd) ensuring in particular that mandates are kept up to date and on line banking functions work effectively.
Manage cash flow by withdrawing funds from or adding funds to deposit accounts as current account funding dictate.
4.
Management Accounting
Provide Director, Deputy Director, Treasurer, Chair and Vice-Chairs with a monthly Budget and Actuals breakdown (with variance analysis), Balance sheet and funds analysis.
Write a Financial Report on the Budget and Actual statements for the quarterly meeting of Trustees.
Support the Finance Manager to prepare, in conjunction with the Treasurer/Director, a budget for the following financial year for the Trustees to review in their November/December meeting.
Respond to other requests by the Treasurer/Director for financial data/analysis.
5.
Gift Aid
Maintain the Charity's register of Gift Aid declarations
Prepare and submit quarterly online Gift Aid claims
Work with other PPT staff on how to maximise Gift Aid claims and ensuring Gift Aid documentation is kept updated.
6.
Other
Make annual returns to the Charity Commissioners including submission of the latest Report and Accounts. Update Trustee details as required.
Support staff involved with fundraising by providing and checking any financial information requested in grant applications.
Maintain records in Microsoft Excel of all regular donations received through bank transfers and online platforms. Work with a volunteer to ensure all regular donations are uploaded to The Trust's Access database and new regular donor records are created.
Record all one-off donations on The Trust's Access database, adding new records as required. Work with the Administrator to ensure that all donors are thanked for their gifts.
Be available to answer miscellaneous e-mail enquiries from donors/potential donors about ways to support the Trust.
Maintain and supervise online accounts for fundraising purposes.
Support Yoga Coordinators with financial elements associated with prisons contracts and other provided services.
Invoice prisons and make payments to prison yoga teachers, where required
Job Type: Part-time
Pay: 31,067.00 per year
Benefits:
Company pension
Work Location: In person
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