Date: Jan 25, 2023

Location: Indianapolis, IN, US, 46205

Organization: HHC

Health and Hospital Corporation is an organization that celebrates diversity, and seeks to employ a diverse workforce. We actively encourage all individuals to apply for employment and to seek advancement opportunities. Health and Hospital Corporation also provides reasonable accommodations to qualified individuals with disabilities as required by law. For additional questions please contact us at:

Job Role Summary

Responsible for coordinating and performing a wide range of Corporate Long Term Care financial activities, which include cost measurement, budget analysis, financial reporting, and the compilation /evaluation of financial information. Prepares the analysis of monthly financials from the LTC management company (LTC Manager) and various financial analysis reports as requested by HHC leadership.  Participates in the submission of documents and portions of the transmittal letter for the Comprehensive Annual Financial Report in accordance with GASB statements and guidelines.  Provides analysis on going of the LTC operating and capital expenditure budgets and spend. 


  • Bachelor’s degree in accounting, finance, or business administration from and accredited college or university, or equivalent work experience

Knowledge, Skills & Abilities

  • Accounting concepts and principles ranging from financial statements to reconciling balancing, and auditing methods.  Knowledge of Governmental Accounting Standards Board statements and guidelines required.
  • Analyze statistical/financial information.  Ability to analyze, combine, and summarize raw financial data into meaningful analyses as well as standard financial statements.
  • Internal control procedures, budgetary process and preparation, methods for designing and installing financial and cost accounting systems.
  • In-depth knowledge of automated electronic accounting systems in mid to large size companies, knowledge of SAP preferred.
  • Advanced working knowledge of Microsoft Excel, Word, and Windows.  
  • Ability to design electronic spreadsheets to analyze expenses, budget, cashflow, and debt management.  
  • Ability to use Excel to verify reliability of large volumes of automated system data.
  • Knowledge of accounting concepts and principles ranging from financial statements to reconciling/balancing methods.  Internal control procedures, budgetary process and preparation. In-depth knowledge of automated electronic accounting systems, and Microsoft Excel, Word, and Windows.
  • Ability to work effectively with accuracy, under pressure of constant deadlines, to make decisions, and provide positive support and leadership.

Working Enviornment

  • Standard business office environment

All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability or veteran status.

Nearest Major Market: Indianapolis