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The Manager, Property Fund Finance is responsible for the end‑to‑end financial management, reporting, and control of property investment entities (under Real Estate funds) across multiple jurisdictions. The role ensures accurate Net Asset Value (NAV) reporting, robust financial governance, regulatory compliance, and effective stakeholder management, while supporting fund operations, treasury activities, and strategic transactions. It acts as a subject‑matter expert in real estate fund accounting under IFRS, local GAAP and INREV, applying professional judgement to manage risks, improve processes, and deliver high‑quality financial outcomes.
Key Work Level Accountabilities: