- Produce Monthly Financial packs for clients and property managers.
- Maintain control schedules, adhere to finance timetables, and ensure compliance with Group/client policies and procedures.
- Ensure management fees, sales, and purchase invoicing are current, with timely payment reviews.
- Handle Monthly Prepayments, Accruals, and Balance Sheet reconciliations.
- Conduct Bank Account reconciliations.
- Assist in delivering annual Property Budgets for clients within deadlines.
- Act as the internal contact for accounting queries.
- Support Annual Statutory Audits for the company and clients.
- Foster effective relationships with internal departments.
- Perform any other ad-hoc tasks as required.
- Actively studying for an accountancy qualification such as ACCA or CIMA.
- Minimum of 1-2 years of accounts experience, ideally management accounts.
- Proficient in finance computer software, with Xero and Navision experience preferred.
- Strong organisational and time management skills
- Strong problem-solving skills and proven experience with spreadsheets.
- Excellent communication skills, both verbal and written.
- Ability to manage multiple priorities, maintain composure under pressure, and exercise good judgment.
- Commitment to continuous improvement and delivering quality service.
- Self-motivated with the ability to work independently and take initiative.
- Flexible and adaptable to changing circumstances, with a positive ‘can do’ attitude.