Job Title: Investment Partnerships Finance Manager Reports to: Deputy Group Finance Director Overview: The Investment Partnerships Finance Manager oversees all financial aspects of Hill Group's Investment Partnerships, which work with local authorities and housing associations to redevelop land for housing and commercial uses. This role includes managing accounts, budgets, cash flow, and statutory reporting for partnerships like Cambridge Investment Partnership and others. Key Responsibilities: Prepare monthly management accounts with variance analysis and financial summaries. Maintain and update business plan models, budgets, and overheads annually. Oversee development appraisals, ensuring accurate real-time costs and revenues. Manage cash flow reporting with short to long-term forecasts. Review legal documents, including Members’ Agreements and Loan Notes. Lead the preparation and timely filing of statutory accounts. Supervise purchase, subcontract ledgers, and treasury functions, including bank reconciliations and payment processing. Ensure robust financial controls and process improvements. Collaborate with internal and external stakeholders, including banks, auditors, and investment partners. Team Management: Oversee a team including management accountants, Treasury Assistant, and Ledger Teams. Key Focus: Cash management, risk mitigation, streamlined processes, and timely financial reporting. Requirements: Strong financial and management accounting experience. Excellent communication and analytical skills, with the ability to work with non-financial directors.