Royal Association for Deaf People

Finance Officer - Remote

London N1 8GJ

Key information

Pay
£29,000.00 (FTE)
Hours
Full-time
Contract
Permanent
Posted date
6 Aug 2026
Closing date
25 Sep 2026

About this role

Job Advert

Join Team Rad today you can really make a difference

This is a remote based role, 32 hours a week with, some ad-hoc travel to London head office where required

Salary

£29,000.00 (FTE) £24,747.00 (actual)

About the role

The Finance Officer will take day-to-day responsibility for RAD's purchase ledger, supplier payments, staff and trustee expenses,

and corporate card administration.

The role will ensure accurate and timely processing, strong financial controls and a complete audit trail, while providing

practical support to the Head of Finance with month-end close and management accounts, including accruals, prepayments, journals,

reconciliations, accounts payable reporting and audit schedules.

This is a development-focused role for someone with a sound grounding in transactional finance who is keen to broaden their

experience, improve processes and contribute across the wider finance function.

Responsibilities as our

Finance Officer will include

Purchase Ledger,

Supplier Payments and Finance Administration

* Process supplier and freelancer invoices accurately and promptly in Sage Intacct, ensuring appropriate approval and supporting

documentation are in place.

* Set up and maintain supplier records, independently verifying any changes to bank details in line with fraud-prevention

controls.

* Reconcile supplier statements and investigate missing or duplicate invoices, credit notes, aged balances and unallocated

transactions.

* Prepare and process supplier and BACS payment runs in accordance with RAD’s financial procedures.

* Record and allocate direct debit payments, ensuring supplier accounts remain accurate and up to date.

* Monitor and respond to finance inbox queries, resolving issues where possible and escalating matters appropriately.

* Maintain complete, accurate and well-organised financial records in line with RAD’s policies, internal controls and audit

requirements.

Expenses and Corporate Card Administration

* Administer staff and trustee expense claims, ensuring submissions are accurate, appropriately approved and compliant with RAD’s

policies.

* Process expense payment runs and maintain complete supporting records for audit purposes.

* Reconcile corporate card transactions, obtain missing receipts and investigate any discrepancies or outstanding items.

* Ensure all expenses and corporate card transactions are accurately recorded and prepare related journals as required.

Financial Reporting and Control

* Support VAT administration by maintaining schedules and ensuring complete supporting documentation is retained.

* Maintain accruals and prepayment schedules and prepare the associated monthly journals.

* Assist with control account reconciliations, investigating and resolving discrepancies where required.

* Prepare regular accounts payable reports, monitor ledger quality and payment status, and highlight outstanding items, risks and

exceptions affecting cash flow or month-end reporting.

* Assist with year-end and audit requests, ensuring information and supporting records are complete and readily available.

Process

Improvement and Wider Finance Support

* Document and maintain clear, up-to-date procedures for purchase ledger, expenses, corporate cards and relevant month-end

processes.

* Identify and support practical improvements to financial controls, workflows, data quality and the use of finance systems and

automation.

* Assist with system testing, data cleansing and the implementation of agreed process improvements where required.

* Provide ad hoc support with month-end and other finance activities as reasonably required.

Essential requirements we’re looking for in our

Finance Officer

* Good standard of general education including GCSE (or equivalent) Mathematics and English

* AAT Level 2 or equivalent booking keeping/finance qualification

* Proficiency in Microsoft Excel, Word and Outlook

* Experience working in a finance, accounts or bookkeeping environment.

* Experience processing purchase ledger invoices and supplier payments.

* Experience using computerised accounting systems.

* Experience using Microsoft Excel to maintain financial records and reconciliations.

* Experience managing competing priorities and working to deadlines

* Strong numerical and analytical skills.

* Excellent attention to detail and accuracy.

* Ability to investigate and resolve financial queries.

* Understanding of confidentiality and financial controls.

* Ability to communicate professionally with suppliers, customers and colleagues.

* Ability to identify discrepancies and escalate issues appropriately.

* Understanding of creditors management and principles.

* Ability to multitask, prioritise and work under pressure. Reactive and responsive in a timely manner.

* Strong organisational and administrative skills

* Proactive and creative approach to the development and delivery of person-centred support

* Flexible in approach to working including evenings and weekends or bank holidays if required

* Liaison and networking

* Must undergo a DBS check

Closing date for application will be the 25th August with first stage interviews expected week commencing 1st September.

If you have a positive attitude, a flexible approach and would like to join our team as a Finance Officer, please complete an

application form and send this together with your CV.

For full details, download a role description.