Key Responsibilities:
- Provide maintenance for the Trust's chart of accounts, cost centres, and project codes to drive efficient financial reporting.
- Understand and manage various data integrations between the Trust's business and financial systems.
- Identify, document, and resolve financial system and business process issues. Implement system and process improvement initiatives, including resolving audit recommendations.
- Assist the Finance team in delivering efficient, meaningful financial reporting and analysis across all business areas.
- Responsible for the accurate accounting of fixed assets.
- Implement, monitor, and review relevant policies, procedures, and standards.
- Relevant tertiary qualification in finance, accounting, or a related field
- Professional membership of CPA or CA
- Understanding and integrating multiple financial and business systems.
- Identifying areas for change in both legacy and current business processes