Joint Venture Reporting Manager
On-siteLondon, England, United Kingdom
Job Summary
Conduct balance sheet reconciliations for tight year-end deadlines and lead preparation of accurate joint venture financial reports for management and partners. Own period-end reporting, resolve discrepancies, and coordinate financial information from multiple finance teams. Drive automation and standardisation of reporting processes, design documentation, and implement controls over JV reporting to ensure compliance with contractual requirements. Support change initiatives and ad-hoc finance projects while collaborating with partner finance teams to progress simplification and efficiency.
Required Qualifications
- Qualified Chartered / Management Accountant (or equivalent)
- Experience with balance sheet reconciliations across a variety of applications
- Strong post-qualification experience in financial / management reporting
- Proven ability to design and implement financial controls
- Experience working with senior stakeholders
- Location: London office for training week, and then 3-4 days per week following this
Desired Qualifications
- Background in listed PLC or listed-client environments (preferred)
- Advanced proficiency in excel, experience with automation, process improvement, and ERP systems (preferred)
- Property sector experience (preferred)
Hiring someone like this?
Get your role in front of qualified candidates on Sorce.