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Finance Manager

Location: PETERBOROUGH, CAMBRIDGESHIRE, UNITED KINGDOM Salary: 40,000-56,000 GBP (UK Pounds) Per annum, inc Benefits
Sector: Accountancy Job Type: Permanent
Shift Type: FULL TIME Applications: 1
Posted: 3 months ago Reference: X3-447084

REED Peterborough is looking for a Finance Manager on a permanent basis to join a real estate firm. The role will be home based with the occasional travel to head office. Ideally the candidate will be Part Qualified or Qualified and have experience of working in Real Estate or from a housing background. 

If you have the experience or would like to know more please apply for this position. Client is looking to interview ASAP.

Job duties - 

Ensure management and financial accounting records for subsidiary companies are accurately recorded and reported.

  • Accounts payable function operates efficiently for the business and suppliers and work well with the current team
  •  VAT and corporation tax accounting records, work with external and internal partners to maximise VAT recovery on behalf of the business
  • Manage a small team
  • Take responsibility for the service charge calculation, billing, customer queries and reporting
  • Prepare and submit accurate, timely and relevant financial returns and reports
  • Take ownership of any projects
  • Ensure management and financial accounting records for subsidiary companies are accurately recorded and reported, including transactions between joint ventures
  • Maintain clear and accurate VAT and corporation tax accounting records, work with external and internal partners to maximise VAT recovery on behalf of the business,
  • Take responsibility for the service charge calculation, billing, customer queries and reporting
  • Ensure accurate and timely reconciliation and reporting of incoming rent, service charge and other billable payments from customers and provide relevant analysis, forecasts and commentary for monthly management accounts
  • Take responsibility for calculation of service charges for all tenures including tenant and homeowner service charges ensuring optimal recovery in terms of efficiency and value.
  • Prepare statutory financial statements for the organisation and its subsidiaries
  • Ensure management and financial accounting records for subsidiary companies are accurately recorded and reported, including transactions between joint ventures.   
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