Finance Manager - Highcross, Leicester
An exciting opportunity has arisen for the right person.
Responsible for the management of all financial matters on site, providing analytical reporting to the Centre Director & Surveyor.
Ensure robust financial management of the centre’s service charge, non-recoverable expenditure and car park P&L.
Line manage the centre Administrator.
Key Responsibilities
• Oversee the finance department operation, set goals and objectives, and design a framework for these to be met.
• Preparing service charge budgets, meticulously monitoring expenditure and income, cash flow management and producing monthly reconcilliations and forecasts. This will include service charge budgets along with the centre’s NRI (Non-Recoverable Income) budget where applicable.
• Provide monthly P&L’s, income and expenditure forecast against actual for the shopping centre and car parks.
• Ensure that all aspects of the Centre’s financial processes from purchasing to invoicing are completed in line with company policy, authority limits and controls.
• Provide reports to accounts and surveyors of any ad-hoc income and recharges, including checking appropriate documents available to support queries (for example on recharges to tenant occupiers).
• Provide ad-hoc reports, data and analysis to support the Centre Director for strategic and operational decisions.
• Work closely with the surveyor and client accountant to ensure all client requests are managed effectively.
• Management of suppliers ensuring all PO requests and queries are dealt with in a timely manner.
• Liaise with auditors to ensure appropriate monitoring of Service Charge expenditure is maintained and year-end reconciliations are completed within 28 days of issue.
• Provide financial reports and interpret financial information to non-finance budget holders.
• Monthly review of income and expenditure along with adjustments to ensure adequate variance analysis.
• Management of the Landlord Rates liabilities where appropriate.
• Support HR on payroll adjustments and manage the payroll process to ensure accuracy and minimal errors.
• Management of utility invoices, including void units. Checking invoices are based on meter reads not estimates and to track utility expenditure.
• Working with 3rd party provider for Utilities to ensure accuracy and no debt.
• Process CoT within 24 hours of a unit coming back under the centre’s control.
• Maintain Audit of all contracts with suppliers, check invoices are within terms of supplier agreements and benchmark KPI performance.
• Provide recommendations for savings, and analysis of cost headings to show good financial and management controls in place.
Leadership
• Line manage the centre Administrator
• Be part of the duty management team and rota which will include on call and weekend working in line with centre’s duty management rota / needs of the business.
• Any other duties as required.
Skills, Knowledge and Experience
• Computer literate, in particular Excel, SharePoint & Word.
• Excellence in organisational ability, oral and written communication, report writing and exemplary presentation skills, capable of engaging senior managers and delivery teams alike.
• Financial acumen with strong commercial focus applied within a large organisation, with success in preparing and managing budgets and profit and loss (P&L) accounts.
• Ability to present articulately at various management meetings
• Strong attention to detail.
• Strong organisational and management skills.
• Ability to work well with others and make clear decisions and continue to deliver results under pressure.
• Excellent time management and prioritisation skills.
• Ability to handle confidential information.
• A team player who can work effectively with a variety of different people.
• Experience working in a fast paced environment.
• Driving consistent processes and delivering consistent results.
• Excellent people management skills, with a record of leading through motivation and recognition.
Desirable
• Previous experience of property management accounting platforms desirable but not essential
• Qualified (AAT, CIMA, ACCA or equivalent) or other similar.
• Deadline driven accounts environment experience
• SIA non front line licence
Working hours - 40 hours / Salary - £40,000
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Please see our Benefits Booklet for more information.
- Business area
- Business Operations
- Role
- Finance & Accounting
- Locations
- Highcross
- Contract Type
- Permanent, Full time
- Remote Status
- This role is site based
- Salary
- £40,000