This is a brilliant Fund Controller role at a leading, pan-European real estate specialist with a focus on logistics. With recent development to double the company’s AUM you would be joining a rapidly growing business. Already, the AUM is over €5bn.
This is an excellent opportunity to join the company at a critical period in the evolution of the business with not just huge transactional growth but also investment into their people, systems and culture. You would be joining a young, multi-national team with some impressive people to learn from and work with.
Key Responsibilities:
- Oversight of monthly financial reporting under IFRS accounting principles as well as reporting consolidated financial information to the FD.
- Production of monthly asset level financial information for discussion of asset performance with the asset managers.
- Preparation of quarterly investor reporting for the funds.
- Collaboration with the internal asset and investment management, legal, tax, investor relations, deal and debt teams.
Key Requirements:
- Chartered Accountant or ACCA qualified.
- Experience in the real estate funds sector.
- Exposure to listed entities and/or the UK REIT (or equivalent) regime is strongly desired.
- Understanding of the principles behind and practical aspects of corporate acquisitions and corporate disposals and of the principles of service charge accounting.
- Experience with Yardi Voyager highly beneficial.