Your tasks include responsibility for pre- and post-bookkeeping in cooperation with our tax office, as well as all bank transactions in income and expenditure, including collection and invoicing of membership fees with the help of association software. In addition, you will prepare budget overviews and financial reports and the annual financial statement as well as prepare and conduct the cash audit. You will also assist with the preparation and follow-up of general meetings and other administrative activities.
The working hours can be increased especially if the field of work is extended to the maintenance of our internet presence (typo3).
You will work mostly independently and predominantly on your own initiative as part of the office team. Your contact persons are Antonia Schweimer in the office and Volker Tepp as honorary board member and treasurer, who works on the same premises in Berlin-Mitte. Many of the processes involved are digitalized and can therefore be mostly carried out from any location. A notebook and digital access to all data is provided by the office.
Familiarisation with association-specific software and the relevant fields of work is guaranteed. |