1. Financial Management Develops in association with budget holders annual budgets with agreed principles and timetables, identifying cost pressures, service developments and cost improvements and subsequently works with them to control expenditure within allocated resources Responsible for ensuring that tasks required to complete monthly financial reports are undertaken to time and required standards and undertakes initial review and analysis of divisional departments financial position to provide briefing to Finance Business Partner on key financial issues. To provide monthly statements and other relevant financial information to Trust Divisions and service lines, according to agreed timetables, together with appropriate interpretation and advice. To investigate and report significant budgetary variances and costs to both the Finance Business Partner and budget holder, discussing the necessary remedial action as appropriate and keeping logs of agreed actions to monitor their implementation. To design, format and maintain accurate calculations of accruals and prepayments and ensure they are correctly recorded on the financial ledger. Analyses the financial position of Divisional Budgets to advise the Finance Business Partner on potential risks and opportunities including the maintenance of rolling forecasts of divisional financial performance and when required establishment and monitoring of financial recovery plans To work with the Finance Business Partner and budget holders to ensure all necessary year-end transactions are completed according to the timetable set out by the Financial Controller. To develop an understanding of the impact of service line reporting to be able to assess the impact on income and expenditure of any in-year changes in activity levels resulting from changes in referral patterns and or capacity. To liaise with Human Resources, Payroll and Procurement in the maintenance of financial controls relating to workforce establishment and procurement of goods and services. To maintain accurate financial records of staff in post and to ensure that budget managers receive this information on a monthly and ad-hoc request basis. To ensure that all expenditure items incorrectly coded for payment purposes are dealt with promptly. Thereafter to advise budget holders on the use of correct financial codes and to ensure their coding structures are appropriate for their needs. To maintain a record of regular recharges and raise invoice requests promptly for income which is due from external organisations, in accordance with the Standing Financial Instructions and internal procedures and support the collection of values owed through provision of information and liaison with customers where necessary. To keep accurate and orderly documentation to support financial transactions such as journals, budget adjustments and invoice requests. Documentation to be kept easily accessible for other members of staff. Facilitates the identification of an ongoing programme of efficiency savings from direct divisional and corporate department budgets and services received and provided by the division/department and subsequently monitors delivery. Undertakes tender evaluations advising of the financial implications to budget holders and Finance Business Partner as required. Utilises information systems to create standard and ad hoc reports to facilitate the understanding of budget holders of their financial position and its correlation or otherwise with the activities undertaken. Supports the Finance Business Partner in the delivery of their responsibilities 2. Service Developments/Disinvestments and Costing To provide Trust Managers and budget holders staff costings as necessary for recruitment purposes. All costings to be calculated using the latest employer national insurance and superannuation information. Assists in the development of operational plans assessing the implications on both income and expenditure to facilitate the development of service operational plans. Supports Finance Business Partner in the development, appraisal and implementation of divisional business cases Assists in the analysis and review of allocation of costs to product or service lines to support reference cost submissions and service line reporting liaising with Managers, and Information staff in their formulation and review. Support modelling the financial consequences to the Trust of service redesign. Supports managers in the negotiation of contracts for services provided or received. 3. Statutory Accounting and Governance Promotes within the Division an understanding of and compliance with Trust Standing Orders and Standing Financial Instructions and Scheme of Delegation To comply with Standing Financial Instructions, Standing Orders and audit requirements, providing appropriate advice to the Trusts Directorates as necessary. Contributes to the production of the statutory accounts through ensuring accounting transactions supporting the reporting of Divisional positions comply with recognised professional standards and guidance including IFRS and undertaking specific tasks to the required timescales and quality specified by the Financial Controller. To ensure budget holders and managers have an awareness of financial performance requirements, including the need for budgetary control and adherence to SFIs, and to provide training where necessary. 4. Training and Development Delivers and facilitates training sessions for non-finance staff within the Division so as to develop understanding of the financial framework and issues within which services operate. Responsible for the professional development of one member of staff, the Finance Support Officer and through appraisal and development sessions. Provide training within own areas of work to junior staff members to enable development in accordance with KSF outline. Maintains and evidences CPD requirements of professional body with whom post holder is registered. 5. Other Deputies for the Finance Business Partner at internal and external meetings. Participates on behalf of finance department in ad hoc multi-disciplinary project groups involving Clinicians, Directors, and Service Managers. To oversee the work of the Finance Support Officer Maintain effective working relationship with members of the Finance Directorate, staff within the organisation and external contacts in order to deliver a professional service focused on achieving the production of management accounts and provision of financial advice. To continually review, recommend and implement changes to financial processes and procedures within the Trust. To keep technically up-to-date and maintain, as appropriate, a continuing professional development plan. To respond to requests for information and queries from budget holders in a timely and professional manner. To undertake any other duties commensurate with grade as requested.