Role Overview
A great opportunity has arisen to join one of Manchester Client Accounting teams. The primary function of the role is to control the finances of client monies held (on behalf of Investors) in order to manage a property portfolio.
Key Responsibilities
* Reporting to clients (standard and client specific reporting) ensuring all SLAs and KPIs are adhered to
* Ensure accurate reconciliation of service charge income and expenditure
* Point of contact for client queries, providing support and advice where necessary
* Internal point of contact for Surveying colleagues working closely to ensure all client deliverables are met
* Maintain/Oversee housekeeping of property & leases data on financial database
* Assist with adhoc tasks as and when required
* Management of client and property cash-flow and funding
* Annual property service charge reviews and liaise with Asset Manager and Service Charge Team to ensure completion within best practice guidelines
* Compliance with Savills policies and procedures
* Attend client and internal meetings as and when required
* Instruct Treasury department (following the relevant approvals) of the following;
1. Collection of monies
2. Amendments to Client Accounts
3. Payment of client property related transactions
4. General maintenance of client funds i.e. tenant ...