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.