Reporting to: Head of Fund Finance – Real Assets
Overview of Responsibilities
Key responsibilities include:
- Lead the annual external audit process from start to finish, including agreeing the audit plan, timelines, scope, and deliverables.
- Maintain and strengthen the financial control environment, including key controls relating to NAV, valuation inputs, and cash management.
- Document processes and control narratives for governance and audit purposes.
- Oversee NAV production, providing review and challenge of monthly and quarterly NAV outputs as applicable, including NAV packs, reconciliations, and supporting schedules.
- Manage relationships with third-party administrators and service providers.
- Act as the primary day-to-day contact for the fund administrator and other key providers such as tax advisors, valuation teams, and company secretaries.
- Prepare and/or oversee reporting for the Board and Audit Committee.
- Produce and review monthly and quarterly management accounts and performance reporting.
- Build and maintain strong working relationships with the Board, Non-Executive Directors (NEDs), Audit Chair, external auditors, administrators, and tax advisors.
- Lead and coordinate the production of the Annual Report & Accounts and Interim Report from a finance perspective.
- Review key accounting judgements, estimates, and critical disclosures.
- Support and review Regulatory News Service (RNS) announcements.
- Develop robust cash flow forecasting aligned with asset-level distributions, capital expenditure, and operating costs.
- Manage liquidity planning for dividends, share buybacks, fees, and expenses.
- Oversee compliance and reporting for two long-term debt facilities and a revolving credit facility (RCF), including covenant calculations, compliance certificates, lender reporting, and deadlines.
- Line manage and develop a junior accountant, including setting objectives, providing coaching, reviewing work quality, and prioritising workloads.
- Provide support to fund managers on transactions.
- Deliver ad-hoc financial analysis and insights to fund managers, including performance drivers, yield and cash metrics, variance analysis, and scenario modelling.
- Review valuation models and assumptions, including considerations relating to completion accounts.
- Strong presence in boardroom settings, with the ability to communicate effectively with Non-Executive Directors and build trusted working relationships.
- Strong quantitative and advanced Excel skills, including working with financial models.
- Excellent written and verbal communication skills, with the ability to translate complex financial information into clear board-level narratives.
- High attention to detail combined with sound judgement and the ability to prioritise competing deadlines.
- Confident stakeholder management skills, with the ability to challenge constructively and drive outcomes.
- Process-driven mindset with a focus on continuous improvement.
- Ability to operate effectively in a deadline-driven listed company environment with multiple stakeholders.
Qualifications and Experience
- Minimum of 5+ years’ experience in a finance role within investment management.
- Experience working with listed investment trusts.
- Qualified accountant (ACA, ACCA, or CIMA).
- Exposure to energy infrastructure is desirable.
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