Job Description What’s in it for you? This exciting opportunity will give the Senior Fund Accountant full ownership of finance and reporting for three institutional real estate funds. This person will be building thorough knowledge of the funds assigned to them and becoming a key point of contact for stakeholders including investment teams, fund administrators, external joint venture finance teams, and external investors. The role will also support the launch of a fourth fund in the retirement rentals sector. This role will be suitable for a self-starter, comfortable working predominantly individually, but also on projects or collaboratively within a team, and someone who will be able to demonstrate strong organisational skills to manage the requirements of multiple funds simultaneously. As they will be working closely with the Investment Management teams and will have exposure to institutional investors, the successful candidate will need to be adaptable, demonstrate strong technical skills and be ready to manage a wide range of stakeholder relationships. The team: This role sits within the Octopus Real Estate finance team, with responsibility for managing fund accounting and transaction support across the retirement and affordable housing funds. What will you be doing? Commercial Develop and maintain a thorough understanding of assigned funds and a strong working knowledge of their portfolios and fund structures. As well as supporting with the launch of a new retirement rentals fund. Maintain good working relationships with the investment teams, fund administrators, auditors, tax advisors and other teams both within Octopus and externally, ensuring that Finance play a leading role in ensuring the seamless management of the funds, including supporting the investment teams on transactions. Reporting Liaise with and manage the relationship with the administrators and external joint venture finance teams to maintain accurate books and records for the funds at all times and ensure reporting is delivered to the funds’ deadlines. Own the complete regulatory reporting cycle for assigned funds, ensuring timely delivery of high-quality statutory reports, including annual accounts filings, tax filings, REIT compliance reporting and FCA reporting as required for the funds. Input into quarterly fund reports and board reports. Other Be the key point of contact on the funds for internal stakeholders including Finance Director, Head of Finance, Fund Managers, and Investment Directors. Critically review all existing processes being confident to suggest and, where relevant, implement enhanced and automated processes to drive efficiency throughout the team.