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Head Of Finance

Job in Salisbury, Wiltshire, SP1, England, UK
Listing for: The Gurkha Welfare Trust
Full Time position
Listed on 2025-12-23
Job specializations:
  • Finance & Banking
    Financial Manager, Financial Compliance
  • Management
    Financial Manager
Job Description & How to Apply Below
Position: HEAD OF FINANCE

The Head of Finance is a key member of the Senior Management Team responsible for the Trust’s financial management including; financial and management accounts, financial planning and budget submissions, forecasting and cashflow management, compliance and financial governance and the statutory accounts and audit. The produces group accounts comprising the GWT charity and the wholly owned trading subsidiary, GWT Trading Ltd. The GWT charity includes the UK based headquarters, fundraising team and two welfare advice centres, and GWT (Nebal), which is responsible for delivering the majority of charitable activities directly in Nepal.

Supported by the Finance Director GWT (Nebal), Head of Finance is responsible for reporting on the financial performance of the Trust to the CEO and the Audit and Finance Committees.

Secretary of the Investment Committee and the key interface between the two Investment Managers and the Investment Committee Chair and members.

Head of profession, providing leadership and professional mentoring and development to the finance teams in the UK and Nepal.

The Trust is looking to introduce a new finance system within the next 12 months, under the direction of Head of Finance.

Main Duties and Responsibilities

This role’s primary responsibilities will be as follows :

1. Financial Leadership and Control
  • Day to day responsibility for the Trust’s finance function ensuring robust financial control, accurate reporting, and effective systems that underpin the charity’s strategic ambitions and operational delivery.
  • Advising Trustees on all aspects of the Trust’s financial performance and position including that of GWT(N).
  • Provide financial advice in support of the strategic direction of the Trust.
2. Financial Management and Control
  • Preparation of the quarterly management accounts with supporting commentary for the Finance Committee and Trustees.
  • Monthly Group consolidation, including Balance Sheet and P&L revaluations and review of completeness of management accounts.
  • Payroll management for all GWT UK staff including salaries, pension contributions and medical insurance. Ensuring the correct application and reporting of statutory allowances to HMRC through monthly RTI reports.
  • Cashflow management.
  • Investments : key interface with Investment Managers (Sarasin & Partners LLP and CCLA), and ensuring the correct accounting and reporting of in-period movements within PS Financials.
  • Constructive Obligation :
    Review annual assumptions and options for agreement by the Audit Committee. Liaise with the actuary (located in India) for annual valuation.
3. Financial Reporting and Audit
  • Preparation of the Trust’s annual budget and 10-year income & expenditure and investment assessment with supporting schedules for submission to the Finance Committee and Trustees.
  • In liaison with HR, evaluate and present options for UK staff annual salary awards.
  • Monitor Trust’s financial performance, identifying risks and opportunities for performance improvement.
  • Prepare GWT and GWT Trading Ltd statutory accounts in accordance with Charities SORP and Charity Commission requirements and with supporting schedules for audit purposes. Maintain reserve policies, presenting changes for Audit Committee approval.
  • Lead for ensuring the correct adoption of SORP 26, with specific focus on the changes in lease accounting.
  • In liaison with Comms & Digital Manager, oversee the preparation of the Annual Report for Trustee approval.
4. Compliance and Governance
  • Responsibility for maintaining an appropriate system of internal control within the Trust. Lead for the contracted UK Internal Audit capability and provide advice and support to GWT(N) Internal Auditor.
  • Lead for Counter Fraud Policy and fraud awareness.
  • Responsibility for accounting policies and procedures throughout the Trust, ensuring they are up to date and in accordance with current best practice and regulatory and Charity Commission requirements.
5. Financial Guidance and Stakeholder Engagement
  • Maintain regular liaison with the Treasurer and Auditor.
  • Liaise with HMRC as required on all aspects of the Trust’s accounts.
  • Providing an external interface with banks, auditors, pension funds,…
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