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Our client is a property investment and asset management business specialising in the commercial and industrial property sector. The company has experienced substantial growth during the past 5 years across both the UK and Europe and now has AUM of over €4bn with significant expansion plans in the next 18 months. It employs over 130 staff in offices situated across UK and Europe.
They are now looking to recruit for a permanent position within its European Fund team. The candidate must have a very good working knowledge of European property accounting and processes.
Key areas of the role will include:
Preparation and oversight of monthly IFRS accounts for European fund entities
Monitoring local accountants to deliver deliverables per Services Agreements
Prepare quarterly financial data for investor reports
Analysis and explain variances to budget and forecast
Prepare rolling cash flow forecasts
Coordinate all taxation and local statutory reporting requirements
Working alongside Asset Management and Investment teams on new and existing assets
New acquisition and sales due diligence
Co-ordinate and assist with year-end audits
Critically review current processes to help define and instigate 'best practise' across the team
Excellent Excel skills and experience with Yardi preferred.