We would be pleased to talk with anyone who likes numbers, spreadsheets, has some accountancy experience and a few hours a month to spare. The Hon Treasurer enters all the financial activity of the JLA into four spreadsheets, Bank analysis, Profit & Loss, Cash Inflows (Subs) and Cash Outflows, for final reconciliation on the P&L at the end of each year. Bank statements are received monthly and PayPal is monitored online. An overview is minuted at each bi-monthly Committee meeting and can be submitted electronically if you can’t attend in person. The final accounts are presented annually at the AGM. The JLA does not have too many expenses to keep on top of, a weekly review to update online subs received is recommended.
If you would like to find out more, please do drop us an email at firstname.lastname@example.org, so we can arrange an informal chat, with no obligation.