Job Description
About Our Client
Our client is a diversified property and investment group with interests across real assets and operating businesses. The organisation is known for its long‑term outlook, lean structure, and strong emphasis on financial discipline and commercial decision‑making.
Job Description
- Prepare monthly group management accounts, including property, hospitality and corporate entities
- Deliver monthly P&L analysis and insights for senior stakeholders
- Manage working capital requirements and ensure funding obligations are met
- Perform month‑end close activities including accruals, prepayments, intercompany and balance sheet reconciliations
- Coordinate monthly reforecasting and distribution of...