- Analyse and present financial data to senior stakeholders, including the CFO.
- Conduct balance sheet reviews and ensure accurate reporting.
- Collaborate with the treasury team on cash management and funding.
- Manage debits, credits, and transaction reconciliations.
- Assist with financial modelling for budgeting and forecasting.
- Ensure compliance with regulatory and company policies.
- Part-qualified or actively studying towards ACCA, ACA, CIMA, or equivalent; ACT or similar qualifications will also be considered.
- Previous experience in the real estate sector is desirable.
- Highly organised, with the ability to prioritise workload and work independently.
- Proficient in using the full MS Office suite.
- Skilled in translating data into meaningful analysis to support decision-making.