Financial Controller
22 Bishopsgate - Hybrid
Permanent
At AXA IM our purpose, to act for human progress by investing for what matters, is central to every action we take as a business. As a responsible asset manager, we actively invest for the long-term to help our clients, our people and the world to prosper.
As a future Financial Controller, you will report to our Local Head of FMCG, and you will be part of AXA IM Alts Real Assets.
DISCOVER your opportunity
AXA IM Real Assets is seeking a Financial Controller to join their London based Financial Management and Controlling Team. The Financial Controller will be primarily responsible for managing the revenue streams, accounting, tax, service charge, treasury, reporting and governance aspects of various real estate investment structures in the UK and overseas.
The successful candidate would co-ordinate the production of Investor and regulatory reporting and support the monitoring of investment performance, working closely with Fund Management, Asset Management and Development Teams.
The role will involve liaising with parties both within and outside the organisation and requires an individual who has strong communication and presentation skills.
The successful candidate will be required to adapt as the FMCG function evolves and to assist in the role-out of an ongoing systems/controls/processes upgrade (project "SHIFT").
Your role and responsibilities will include:
Liaison with Investors as required: organising/attending meetings, presenting results and answering questions
Contribute to discussions with MB and IC members to assist decision making
Liaison with directors and CoSec to provide good governance to corporate structures
Adoption of new working practices involving implementation of SHIFT protocols for interaction with third party service providers (Corporate Manager, Company Secretary, Property Manager, Tax Advisor etc.)
Implementation of investment acquisition and disposal strategies following tax and structuring guidelines. Assisting with the establishment of external debt financing as required
Monitor and control the preparation of management accounts, statutory accounts and tax compliance and ensure good governance and timely reporting
Oversee an annual corporate budgeting process and maintain Fund Models to report actual and forecast performance
Monitor working capital requirements to ensure investments are properly funded. Apply appropriate cash repatriation mechanisms to meet Investor requirements
Debt monitoring and covenant reporting to ensure compliance with external financing, where appropriate
Oversee delivery of property service charges, contributing to the control process to ensure adherence to budgets and timely delivery
Providing covenant checks on prospective tenants and service providers
Monitor and control tenant arrears collection in conjunction with Asset Management
Debt monitoring and covenant reporting to ensure compliance with external financing, where appropriate
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