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Financial Manager - Analyst - Contract - Private Equity Real Estate

Trident International Associates

London

Hybrid

GBP 70,000 - 80,000

Full time

2 days ago
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Job summary

A leading private equity property company is seeking a Financial Manager / Analyst for a 12-month contract role within their Real Estate finance team in London. The ideal candidate will be fully qualified and experienced in financial reporting, modeling, and analysis related to the real estate sector. This role offers a competitive salary, hybrid working, and a range of employee benefits, including a completion bonus and 25 days holiday.

Benefits

Completion Bonus
Pension
25 days holiday
Hybrid working model

Qualifications

  • Proven transferable skills in the real estate sector required.
  • Strong skillset in financial modeling and analysis.
  • Ability to work independently and take initiative.

Responsibilities

  • Produce quarter-end Fund reports and cash flow forecasts.
  • Model and review investments ensuring assumptions align.
  • Prepare detailed investor call and distribution calculations.

Skills

Detail-oriented
Strong presentation skills
Communication skills
Investigative mindset
Resourceful
Proactive

Education

Fully qualified (ACCA/CIMA/ACA or similar)

Job description

Ref: (Ref: D21D991 )
Salary: £ 70,000 - 80,000 + Completion Bonus / Benefits
Specialist Area: Finance Manager
Type: Contract
Start Date: ASAP

OUR CLIENT is a successful private equity property company known for developing and trading both commercial and residential properties, and managing real estate funds. They are seeking a Financial Manager / Analyst to join their Real Estate finance team on a 12-month contract basis.

THE ROLE responsibilities for the Financial Manager - Modeller include:

  • Producing quarter-end Fund reports, including detailed project-level (Excel) appraisals with updated actuals, consolidated fund-level cash flow forecasts, and returns.
  • Modelling and reviewing existing investments across different real estate sectors with varying funding and profit-sharing arrangements, ensuring assumptions align with underlying documentation.
  • Preparing sensitivity analyses of project appraisals, modeling various funding and exit scenarios.
  • Assisting team members with operational projects.
  • Preparing detailed investor call and distribution calculations.
  • Managing quarterly investor return reporting, completing Fund and investment-level metrics via investor portals/templates.
  • Supporting ad hoc accounting tasks such as account reconciliations (inter-company, VAT, equity invested), NAV calculations, corporate disposal/liquidation support, and management account reviews.

REQUIRED SKILLS AND QUALIFICATIONS

  • Fully qualified (ACCA/CIMA/ACA or similar) with proven transferable skills in the real estate sector.
  • Resourceful, proactive, and willing to take initiative.
  • Detail-oriented.
  • Independent thinker.
  • Investigative mindset, questioning assumptions rather than accepting them at face value.
  • Strong presentation and communication skills.

BENEFITS

  • Hybrid working model – approximately 3 days in the office (initially 4/5).
  • Completion Bonus
  • 25 days holiday
  • Pension

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Please note: Due to volume, we cannot respond to everyone. All applications are reviewed and stored in our database. If you do not hear within 5 working days, your application is likely unsuccessful, but we will contact suitable candidates for future roles.

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