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EQUAL is an IPC-registered charity that delivers equine-assisted and animal-assisted services to support the mental and emotional wellbeing of children, youth, seniors, families, and communities. Our work sits at the intersection of human wellbeing, animal welfare, and experiential learning, and is delivered through a multidisciplinary team of programme professionals, equine specialists, operations staff, and volunteers. Fundraising is mission-critical to EQUAL's ability to deliver safe, high-quality, and impactful programmes. As the organisation scales, EQUAL is strengthening its fundraising infrastructure, pipeline discipline, and stewardship capability to support sustainable growth.
This role provides hands-on accounting support to the Finance Business Partner, ensuring that EQUAL's day-to-day financial operations are accurate, timely, and well-organised. You will be responsible for executing core accounting processes - including accounts payable/receivable, reconciliations, and maintaining proper financial records - while supporting month-end closing and audit preparation. This is a foundational finance role designed for someone who is detail-oriented, dependable, and keen to build strong accounting fundamentals in a mission-driven organisation. You will gain exposure to charity accounting, fund tracking, and audit processes, while contributing to the smooth running of EQUAL's finance function.
Transactions (AP/AR, journals) are processed accurately and on time
Bank reconciliations and schedules are kept up to date with minimal supervision
Month-end closing support is reliable, well-documented and timely
Financial records are organised and audit-ready
Day-to-Day Accounting Operations
Process accounts payable (vendor invoices, staff claims) accurately and promptly
Support accounts receivable, including invoicing, receipts, and donation recording
Prepare and post journal entries with proper documentation
Maintain accurate and up-to-date accounting records in the system
Month-End Closing Support
Closing of monthly full set of accounts on a timely basis
Ensure all transactions are properly recorded and supported
Reconciliation & Records Management
Perform bank reconciliations and resolve discrepancies promptly
Maintain accounting schedules (e.g. payables, receivables, basic fund tracking)
Ensure all financial documents are properly filed and easily retrievable
Audit & Compliance Support
Prepare supporting documents for audits and regulatory submissions
Ensure documentation is complete, organised, and audit-ready
Process & Systems Support
Support the Finance Business Partner with data collation and variance tracking
Budget & Reporting Support
Support the Finance Business Partner with data collation and variance tracking
Diploma or Degree in Accountancy or related field
At least 2 years of relevant accounting experience preferred
Experience in handling full set of accounting functions
Job ID: 145560597