Group Finance Manager

WHITE ROSE ,
Nottingham, Nottinghamshire
Job Type: Full-time
Salary: £30,000 per annum

Overview

Part-time (2 days per week) Salary: £30 - 40k pro-rata (depending upon suitable experience) About Us White Rose is a chain of handpicked recycled fashion retail shops supporting the work of The Aegis Trust, to prevent genocide and mass atrocity in areas at risk around the world. White Rose continues to expand and we are looking for a Group Finance Manager on a part-time basis, working 2 days per week (one to be either a Monday or Wednesday), with experience of managing the finance for a not-for-profit organisation with international links. The role This role will involve the overall management of the accounts and the Accounts team of two, as well as assisting the Directors and Board Members with finance strategy and detailed accounts for presentation to investors. Coordinating and managing the production of the budget and of the management accounts The production of the financial detail linked to the strategic plan Effective management of the Finance team of two Develop the accounts forecast with the emphasis for investment Producing financial detail for funding proposals and answering inevitable questions in assisting the Business Directors in the preparation of budgets for funding applications, bids and tenders, and develop financial models for new opportunities Assist senior management with the development of management information that enables deeper understanding of the organisation and its performance Ensure that effective financial controls and procedures are maintained including some responsibility for the valuation of investments Ensure compliance with finance policies and practices Oversee the management of finances, assets and payroll reconciliation Manage investment accounting, including fund management, managing medium / high risk funds, including international transfers and associated exchange rates Oversee the preparation of statutory reporting and returns; managing liquidity and cash flow Managing the cash with regard to the daily cash position, investments and forward cash flows Identify and gain agreement for measures to deliver budget efficiencies through either cost-savings, re-allocation of financial resources or external sourcing of services Ensure regular review of expenditure takes place Assist and support budget holders to scrutinise their own budgets Oversee the production of monthly, quarterly and annual financial accounts reports, forecasts, and budgets to deadlines as required for delivery to the Board, to the Senior Management Team as well as for investor proposals Your experience: Previous experience within the charitable sector is desirable International investment and fund management experience is desirable Qualified in accounting is essential Managerial experience of an Accounts team is essential Experience of financial strategy An understanding of charity governance and charity commission requirements is desirable Excellent communication skills and the ability to talk finance to non-finance stakeholders Strong IT Skills including Excel Benefits: Competitive salary 25 holidays per annum plus bank holidays pro-rata) Flexible working Employee Assistance Programme Company sick pay Long service award Birthday gift card Staff discount