A property specialist credit fund company is looking to employ a Financial Manager.
This individual should be confident, experienced, and capable of managing the overall finance of the company.
If you are driven, organized, and thrive on solving problems, this role is for you.
Responsibilities:
- Review month-end files and management packs
- Present and discuss management packs with senior management
- Submit monthly management packs and quarterly updates to shareholders and investors
- Review VAT and income tax submissions
- Act as liaison with auditors, schedule and complete audits, deal with queries, and submit disclosures and requested information
- Review individual and consolidated financial statements
- Manage creditors control
- Review and approve payment requisitions
- Review legal documents linked to each deal, ensuring finance and legalities align
- Liaise with investors regarding financial information requested on an ad hoc basis
- Manage tax efficiency between group companies
- Prepare quarterly cash flow and profit forecasts and compare with budgets
- Present forecasts to senior management quarterly
- Deregister older funds, companies, and trusts in the group
- Ensure sufficient cash flow to fund operational requirements and deal drawdowns
- Manage excess cash to optimize returns
- Manage monthly compliance reports with external contacts
- Ensure timely FSCA submissions and compliance with all regulations
- Ensure funders receive required financial statements and compliance certificates
- Calculate profitability of new deals and advise on funding options
- Review legal documents and ensure credit approval aligns with legalities
- Monitor deals nearing repayment and flag issues
- Manage security levels as loans partially repay and coordinate security releases
- Liaise with attorneys for final settlements and with banks for funding
- Review outsourced retail management packs and liaise with property agents and managers
- Conduct desktop valuations of retail properties
- Manage recruitment and employment processes
Requirements:
- Qualification: CIMA or relevant bachelor's degree
- Minimum 3 years post-articles experience in finance, compliance, and financial modeling
- Highly proficient in Excel and advanced Excel skills
- High integrity and good social skills
- Highly organized, calm, and capable of multitasking
- Effective communication with stakeholders
- Risk identification and problem-solving skills