Timely month end closing, inter-company reconciliation
Business Partnering with investors
Reviewing outsourced service providers accounts
Business partnering with asset managers
Preparation of monthly management reporting, monthly bank reconciliation and quarterly audit schedules
Ensuring timely preparation of full set of financial statements for audit;
Handling tax matters (such as VAT and corporate/income tax);
Budgeting and forecasting; internal control and compliance; serving as a key driver for implementation of Group policies, processes and systems;
Performing credit reviews for potential tenants and suppliers; providing financial project management support for asset management initiatives and development projects.
What you'll need to succeed
Fully qualified CIMA, ACA or ACCA accountant
At least 2-5 years post qualified experience
Must have Real Estate or Construction experience
Must be well-versed in MS Excel
Good verbal and written communication skills are required.
Need to be hands-on with a good eye for detail, responsible, well-organised and able to work independently in a fast-paced environment.
Excellent problem-solving skills and ability to work proactively