Summary
This exciting new role as Theatre Royal Finance Manager will report directly to the Finance Director and will be responsible for the efficient running of the finance function. Working in a small team in this beautiful grade I listed building you will have a working knowledge of SAGE (50 and Payroll) with a good understanding of financial process and control. Whether you are CIMA/ACCA/ACA qualified, part qualified or with the equivalent experience, this unique financial role will offer variety, team work, autonomy and responsibility within a producing and presenting theatre selling over 72,000 tickets every year.
More Details
Duties to include
1. Deliver and maintain accurate accounting systems and practises.
2. Create, monitor and review the organisations daily cash forecasts.
3. Complete monthly financial reconciliations to the Balance Sheet, including the preparation and processing of journals.
4. Management of monthly Accruals and Prepayments.
5. Manage weekly and monthly payroll for permanent staff, casual teams and artists and technicians working on productions.
6. To provide the basis for the Finance Director to prepare:
* Monthly Management Accounts
- Quarterly Reforecasting
- Cashflow Forecasting
- NPO Reporting
- Quarterly VAT returns
To apply please go to Theatre Royal website #J-18808-Ljbffr