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Job description
Job summary
To support the effective and efficient operation of the Finance Department by supporting the Technical Team who provides a technical financial accounting and VAT function to the Trust.
Main duties of the job
Complete and reconcile control accounts
Support the Annual Trust reporting cycles
Support the month end and year end accounting processes
Preparation of the statutory monthly Construction Industry Scheme (CIS) payments and online return
Support the Technical Services Team in managing the process for the collection and pay over of statutory payments such as Tax and National Insurance
About us
Our new strategy, developed with the support and feedback of colleagues, patients, and partners, is our compass for the next seven years (2023-2030).
We have four primary goals:
high-quality care for all,
being a great place to work,
partnerships for impact, and
research and education excellence
And we will embed health equality in all we do - taking active steps to reduce the avoidable differences in healthcare that some people face, working in partnership with communities.
Our strategy is underpinned by new calues and we will work to ensure they are an everyday reality for all:
we are compassionate,
we are proud,
we are inclusive, and
we are one team
This is an exciting moment as we look to the future with clarity on what we already do well and where we need to focus our energies to make an even bigger difference for the people we serve.
Job description
Job responsibilities
To complete and reconcile control accounts ensuring balances shown in the Trusts ledgers are correct, resolving any queries either by telephone, email or face to face with Payroll, finance and other Trust departments.
To support the Technical Services Team with the monthly, quarterly and annual Trust reporting cycles including the creation and maintenance of accurate spread sheets to support control account balances and as working papers for audit purposes.
To run timely transaction listings and use the results to support various reporting processes.
To prepare, upload and post journals to the General Ledger to support the month end and year end accounting processes.
To assist with reporting requirements of the Trusts subsidiaries as required.
To assist with the controlled input of external feeds into the general ledger in accordance with the closedown timetable to ensure integrity of the ledger balances.
To support the Technical Services Team in managing the process for the collection and pay over of statutory payments such as Tax and National Insurance within the set deadlines.
To assist with the preparation of the statutory monthly VAT return in accordance with the detailed HMRC guidelines, including reconciliation of the VAT control codes and review of transactions.
To assist with the preparation of the statutory monthly Construction Industry Scheme (CIS) payments and online return.
Communicate by both verbal and written methods in responding to enquiries from internal and external colleagues.
To provide cover within the team as and when required.
To prioritise and plan own workloads.
Routinely process sensitive information and communicate this to relevant third parties whilst observing confidentiality.
To work in accordance with Trust Standing Orders and Standing Financial Instructions, and to contribute towards the continuous improvement of the Financial Services Department.
Maintain up to date knowledge in the department by attending relevant formal training, financial updates and networking events.
The post holder will support the development, maintenance and review of financial procedures and policies. These procedures are co-ordinated in the Trusts Finance Manual which the post holder will help to ensure is understood and complied with across the Trust.
The post holder will support the development and review of financial systems to ensure that the financial planning function can provide a comprehensive and effective service to the Trust.
The post holder will be expected to take part, and in some instances lead, on a number of NHS modernisation initiatives.
The post holder will work within a rotational programme, which may mean a change in responsibility periodically.
To participate in Trust committees and meetings as appropriate
Person Specification
Training & Qualifications
Essential
NVQ Level 4/AAT Technical Level/NEBS Level 3 or equivalent experience
Evidence of continual professional development and a commitment to ongoing personal development
Desirable
Evidence of a commitment to personal development and continual professional development
Experience
Essential
Fully conversant with information management and technology to a high standard
Able to interpret complex information and system outputs
Desirable
Knowledge of NHS finance systems
Experience of working within a Finance Department and be familiar with NHS year-end financial accounts
Communication and relationship skills
Essential
Able to communicate confidently and effectively at all levels both internally and externally, orally and in writing
Able to communicate statutory financial regulations and NHS rules in a simplified form to non-finance people
Strong interpersonal skills, proven ability to develop and sustain productive relationships with team members and colleagues.
Analytical and Judgement skills
Essential
Strong analytical and interpretative skills
Able to analyse and interpret complex financial data & resolve queries and anomalies
Able to carry out complex calculations and make decisions on how to resolve problems from a range of options
Skills
Essential
Able to input financial data into computer databases and spread sheets, where speed and accuracy is necessary
Able to design, format and maintain spread sheets for specific purposes
Potential to develop and change within the changing NHS
Planning and organisation skills
Essential
Ability to work under pressure, to prioritise and work to tight deadlines
Able to work independently towards expected results within defined operating policies
Able to plan own workload to ensure weekly, monthly, quarterly and annual financial timetables are met
Other requirements specific to the role
Desirable
Have a flexible approach to working and be available to work outside normal hours as and when required
Commitment to Trust Values and Behaviours
Essential
Must be able to demonstrate behaviours consistent with the Trust's Values and Behaviours
Equality, Diversity and Inclusion
Essential
Able to demonstrate a commitment and understanding of the importance of treating all individuals with dignity and respect appropriate to their individual needs
All staff are expected to engage in compassionate and inclusive leadership in the provision of high quality care and interactions with others
Disclosure and Barring Service Check
This post is subject to the Rehabilitation of Offenders Act (Exceptions Order) 1975 and as such it will be necessary for a submission for Disclosure to be made to the Disclosure and Barring Service (formerly known as CRB) to check for any previous criminal convictions.
