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Treasurer

We are actively seeking someone to be Treasurer to the Rua Red Board of Directors who has experience in financial management, budgets, accounting, bookkeeping, and SORP, preferably within the not-for-profit or arts sector.

Key responsibilities typically include:

Supporting Staff

  • Supporting the Finance team with financial recording, planning, projections and reporting
  • Guiding with financial insights to assist decision-making.
  • Meeting with Finance and Operations Manager every 3 - 6 months

Supporting Board

  • Attend a Board meeting every 12 weeks
  • Ensuring board members understand financial reports
  • Ensuring board members understand end of year accounts

Governance & Compliance

  • Ensuring the organisation meets its legal and tax obligations, including CORE and CRO.
  • Overseeing compliance with charitable status requirements
  • Ensuring adherence to grant funding conditions and financial policies.

Liaising with Auditor, Accountant

  • Working with auditors, accountants, in the lead up to AGM and end of year accounts (approx. 2 meetings online)

Financial Strategy & Risk Management

  • Helping develop and implement the organisation’s financial strategy.
  • Identifying financial risks
  • Advising the board on reserves policies
  • Monitoring income, grants, and sponsorships.

Treasurer

Published on 10.03.2025

Expires on 10.06.2025

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