Interim Finance Director Oxford - Property Sector
Our client is a property company based in Oxford with around £500m of assets. They are looking for an Interim Finance Director for an immediate start. The client is flexible, so 4 or 5 days per week are both workable.
They are working on an expansion plan and are in discussions with banks to raise significant additional finance.
Role Scope
* Managing a team of 2 - Finance Manager and Finance Assistant
* Inside of IR35
Key Relationships
* Senior Management Team
* Finance Manager
* Operations & Asset Management Team
Experience & Skills
* Experience of working in a similar role within a fast-paced business ideally within the Real Estate / Property Sector
* Strong team working and interpersonal skills necessary to build stakeholder relationships with desire to learn, train and develop in the role
* A positive team player, with an adaptable and flexible approach along with ability to work collaboratively to drive results and support the wider team and business objectives
* Demonstrated willingness to be flexible and adaptable to changing priorities
* Accurate, organised, methodical, deadline focused and committed
* Ability to manipulate and sort large volume of data in excel
* Good communicator, with the ability to review, interpret, and present complex financial data
* Ability to meet multiple deadlines and multi-tasking are essential, using initiative to prioritise
Responsibilities
* Ensure delivery of accurate management accounts, VAT returns and outsourced services are provided on a timely basis and comply with venture and statutory deadlines
* Business partner with Operations and Asset Management teams to give analysis of the financial performance of the assets and highlight opportunities for improvement/change
* Engagement with banking partners supporting fundraising
* Review of Bank reconciliations, cash book monitoring and banking duties
* Review of Balance Sheet packs including accruals, prepayment and journal postings
* Review reports and supporting schedules including accruals and prepayments
* Month end reporting packs
* Review of Operational budget variance analysis, partnering with the Operations teams on the preparation, delivery and timeliness of variance commentary
* Provision of investor information (cash distribution, capital calls) and reporting on 3rd party mandates
* Completes various financial, accounting, narrative, administrative and other reports and analysis and duties as assigned or necessary for the successful execution of the business plans
* To constantly develop improvements in quality of information and working practices, within the organisation
Qualifications
ACA/ACMA
Job Benefits
Good Day Rate
Potential for the role to go Permanent
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