Working with Citra Operations/Finance/Asset Management and Change teams to establish, implement and improve best practice financial processes and controls over Property financial management for a rapidly scaling business.
Business Partnering between operational finance, asset management and central finance.
Managing financial transactions for new/existing/renewing and exiting tenants.
Financial Profit and Loss Actual Reporting.
Developing Forecasting and Budgeting and undertake Performance Analysis.
Managing bank reconciliations, Accounts Payable and Accounts Receivable processes relating to property management.
Property purchase ledgers from setting up purchase orders through to invoice payment.
Tenant focused credit control.
Managing rental payments, customer refunds/payments, supporting Operations with the Arrears process.
Required Knowledge, Skills, and Abilities
Accountancy
Finance Manager
Profit and loss
Property finance experience is essential.
Experience administering financial ledger and purchasing systems
The ability to work unsupervised, to tight timescales, in a fast paced environment are fundamental.
Comfortable working in a change environment.
A willingness to challenge and try new ways of working.