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Fund Finance Manager
United Kingdom - London -
2 years ago
Offered Salary
Industry
Finance Manager
Job Type
Full Time
Job Description
Preparation of year-end financial statements
Preparation of year-end audit files
Rolling over and preparing statutory accounts for dormant entities
Prepare distribution calculations
Preparation and presentation of accounts and financial reports at board meetings
Review of VAT returns and tax analysis data
Assisting with CIS filing
Preparation of loan compliance covenants
Preparing rental reconciliations, reviewing bank reconciliations, calculation of net asset value
Compliance with filing and reporting legislation to ensure all deadlines for preparation of income tax, VAT, filing of accounts, etc. are met
Posting journals to MRI.
Calculating and checking to make sure payments, amounts and records are correct.
Day to day accounting issues
Provide assistance to the Finance team
Review and analysis of finance property reports from third party providers
Ensuring financial information is correctly uploaded into the necessary general ledger systems
Set up and wind down of Fund entities
Responding to queries from investors in a timely and accurate manner
Setting accounting policies and internal controls for the fund Review and analysis of finance property reports from third party providers
Providing technical guidance and support to third party providers
Review of transactions at entity holding level
Active involvement in property/corporate acquisitions and disposals
Ensuring finance reports are maintained under relevant GAAP
Review of finance reports to investors
Management of year- audit
Liaise with appropriate internal teams on any banking, GL, legal, treasury, risk issues or projects
Liaise with external services providers on operational matters – company secretary, values, legal counsel, tax advisors, etc.
Ensure compliance with bank loan covenants and review of bank compliance certificates
Prepares materials for Management Company Board and Investor Advisory Committee meetings as appropriate
Manage regulatory, legal and tax aspects of distributions and capital calls
Arrange company incorporations and bank accounts for new entities as developments are approved
Monitor bank transactions and balances, and forecast cash flow/capital requirements
Arrange loan drawdowns from external banks
Preparation / review of loan compliance covenants
Support treasury functions with banking relationships and the procurement and re-financing of external debt
Liaise with tax accountants and other external providers to ensure timely and accurate filing and payment of all taxes
Review of annual tax compliance
Review of tax compliance for all investor(s) as appropriate
Provide assistance to Fund Manager, Senior Finance Managers and Head of Finance on transactions
Ad hoc reporting and analysis.
Involvement in new projects, as appropriate.
Required Knowledge, Skills, and Abilities
Qualified accountant
Strong IFRS / GAAP knowledge
Strong Excel skills
Previous experience using GL systems
Experience in a corporate real estate environment is preferred
Confidence and ability to manage, work with and influence third parties to ensure high quality outputs
Results, deadline and quality driven
Excellent communication and inter-personal skills, proactively collaborates across hierarchies and networks
Adaptability
Think innovatively, uses this skill to improve processes, problem solve and knows how to add value
Reference no: 100679
Expired
15 Views
6 Applications
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