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Orders of St. John Care Trust is seeking a Finance Manager for Management Accounting & Reporting to lead financial operations and reporting. This role involves producing financial data for internal departments, with a focus on efficiency and team leadership. The position offers hybrid working, competitive salary, and various benefits including a contributory pension and life assurance.
Finance Manager Management Accounting & Reporting
Finance Manager Management Accounting & Reporting
We're one of the largest not for profit care provider in the UK, specialising in providing high quality, person-centred care for older people, in care homes and extra care housing nationwide.
At OSJCT we care about our residents and we care about each other. That means you'll enjoy great career development working for an expanding organisation. Because we're a not for profit trust, we invest every penny we make in the people who live in our homes and the people who work here too. This means better quality care and lovely homes for our residents, along with competitive wages and great training and development for our people.
We provide outstanding care, working closely with leading experts on dementia and elderly care. And we're currently modernising our portfolio of care homes - refurbishing our existing homes and moving into new, inspiring, contemporary care homes too.
As we expand nationwide, we need more people with the right mix of skills, passion and ambition to help us grow even more.
Finance Manager (Management Accounting & Reporting)
Location: Lincoln, Lincolnshire
Hours per week: 37.5 with hybrid working 2-3 days working from home.
Salary: £50,000 - £55,000 per annum dependent on experience
About the role:
Reporting to the Head of Finance (Accounting and Reporting), the Finance Manager will play a key role in leading a team preparing all financial information to be distributed internally to Trust departments. This is including but not limited to, monthly management packs, annual budgets and quarterly forecasts, expenditure analysis and ad hoc reporting. The role is responsible for producing the monthly income and expenditure analysis and ensuring post appropriate journals so that the Trust trading performance is recorded accurately. The role is jointly responsible for the month end close process in conjunction with the Central Finance Manager. The role will support the accounting of the joint venture partnerships.
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