Finance Officer
Contact details
Please include your CV and a supporting statement that refers to the person specification in the job description, outlining your relevant knowledge, skills, and experience.
The supporting statement should not include any personal details (e.g. name, address) to support anonymised shortlisting. Both documents should be submitted in an editable format (e.g. Word) to allow for anonymisation.
Closing dates for applications is January 6th 2026
Interviews will be held week commencing 12th January 2026
Key responsibilities
At Herefordshire Wildlife Trust we are committed to creating an organisation that recognises and truly values individual differences and identities. We value diversity and are committed to creating an inclusive culture where everyone is able to be themselves and to reach their full potential. We want our people to flourish, just like nature
The Finance Officer will be the key contact for the day-to-day financial aspects of the Trust and will assist in the administration and maintenance of an effective and robust finance department. They will ensure that timely and accurate monthly reporting is completed within strict deadlines, supporting the senior management team with reliable financial data.
Key Finance Responsibilities:
Process sales and purchase invoices & credit notes, raising funding requests, inter-company recharges, prepayments and posting journals, all using Xledger financial software
Manage weekly supplier payment runs, ensuring timely and accurate payments aligned with contractual obligations
Maintain nominal, sales and purchase ledgers
Credit control, including producing debtor statements and proactively chasing payment for overdue accounts
Monthly reconciliations for all the Trust’s bank accounts
Receive cash/cheque/BACS payments, accurately allocating cash to ledgers ensuring correct budget codes are used
Reconcile and post monthly credit card transactions ensuring accurate coding to relevant expenditure codes
Assist with the quarterly VAT returns
Maintain the fixed asset register and post the monthly depreciation journal
Administer payroll and pension processes using Bright pay, including monthly and year end procedures, P11D submissions, and reporting to HRMC and pension providers. Provide financial guidance and project support to budget holders and project officers, including grant tracking and reporting.
Handle banking activities, securing deposits of cash and cheques for the Trust as required
Assist the Head of Finance with the preparation of monthly management accounts, the preparation of the annual budget, quarterly re-forecasts, the financial year end and annual external audit
Support the Finance Committee with minute taking
Undertake any other financial tasks as required, such as staff training on Xledger