Finance Manager

Posted 16 April by Morgan Law
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King's College Taunton

Finance Manager

£48,000 - £58,000 plus excellent benefits and holiday

Reporting to the Director of Finance and Operations you will provide operational management of the finance department of the school, ensuring accurate financial reporting, appropriate financial controls are in place, that cash is managed prudently and that the department provides timely and relevant support to the business

Key Responsibilities include:

  • Manage the finance team and the day to day running of the Finance Department to support the operation of the Prep and Senior School and subsidiary companies.
  • Prepare management accounts, including balance sheet for the School and its subsidiaries each month showing the financial performance and position of each entity compared with budget, and produce a concise commentary on variances and other matters of significance and review with the DFO
  • Providing information for the DFO and Finance and Council meetings as required
  • With the DFO, prepare annual budgets for review
  • Manage the annual audit and prepare audit files for submission by required date and manage the audit onsite field work team
  • Prepare the annual Statement of Financial Activities and Balance Sheets for the School and its enterprise and international companies
  • Assist DFO in preparation of annual Directors' Report
  • Prepare monthly cash statements and aged debtor analyses
  • Prepare cash flow statements each term
  • Ensure the fixed asset register is maintained and depreciation calculated accurately
  • Ensure that all intercompany transactions are properly reflected in the accounts of each company and in the consolidated financial statements of the School
  • Prepare group VAT returns for the School's and subsidiaries and monitor non-VATable transactions for the Charity in respect of registration requirements
  • Reverse VAT charges for overseas agents
  • Liaise with VAT consultant where necessary
  • Corporation Tax Returns for trading subsidiaries in conjunction with advisor
  • Reconcile bank accounts for restricted funds and analysis of fund market values and ensure all other bank accounts are reconciled monthly (fees and operating accounts)
  • Reconciliation (and supervision) of all major nominal ledger control accounts
  • Liaising with overseas partner schools re income and payments
  • Reporting on investment portfolios
  • Daily management of cash and optimisation of income from cash deposits
  • Managing daily posting of all fees and operating bank accounts by Finance Team
  • Managing the purchase ledger operation.
  • Accurately managing accruals and prepayments and reporting for audit
  • Recognising all non-fee/other income appropriately including donations, restricted and non-restricted

Reference: 52483868

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