Hiring.Camp

Senior Finance Manager, Financial Reporting

Grosvenor Careers

·

Yesterday

Location
Eaton Estate, United Kingdom
Workplace
Hybrid
Type
Full-time
Department
Finance
Seniority
Senior
Source
Workday

Description

Location: Eaton Estate Office, Chester, Cheshire (with occasional travel to London)
Contract: Permanent, Full-Time, Hybrid Working


At Grosvenor, we take a long-term approach to creating value for future generations. Our purpose is to deliver lasting commercial, social and environmental benefit through responsible stewardship, investment and management of our assets.


As part of our continued success, we're looking for an experienced and commercially astute Senior Finance Manager – Financial Reporting to join our Finance team based in Chester.


Main purpose of role 
Working in a busy finance department, reporting to the Financial Controller, Financial Reporting, the main areas of responsibility include: 

  • Financial reporting and control 
  • Working closely with the Financial Controller, Financial Reporting on financial modelling and analysis 
  • Coaching and providing day to day support and guidance to team including continuous development 

 

Responsibilities 

Financial reporting and control 

  • Overall responsibility for a number of Family Office Trusts and companies ensuring that reporting deadlines are met at all times 
  • Lead on preparation of quarterly management accounts, including establishing timetables, reviewing management accounts and preparation of main reporting pack 
  • Lead on annual year-end accounts preparation and review, including audited and non-audited accounts 
  • Establishing and agreeing timetables with London based Finance Team and auditors. 
  • Preparation of Audit Committee papers (2 meetings a year) 
  • Lead on annual budget preparation including producing timetables, reviewing budgets and preparation of main reporting pack 
  • Lead on preparation of Annual Finance Review 
  • Preparation of quarterly Family Office stressed cash flow for inclusion in quarterly liquidity report  
  • Preparation of quarterly Liquidity Report, including liaising with other Finance teams across the organisation 
  • Preparation and review of monthly cash flows and make decisions on future cash flow requirements 
  • Preparation and review 24 month rolling cash flows to assess liquidity requirements and make decisions on investments 
  • Provide assistance to tax department in preparation of annual tax returns as required 
  • Liaison with legal advisors and investment teams. Provision of information as required. 

 

Financial modelling and analysis 

  • The Financial Controller retains overall responsibility for this area, with this role working collaboratively to support the following: 
  • Updating the long-range financial model to support operational and strategic decision making, making changes to reflect changes in strategy, structure and relevant legislation, ensuring an audit trail is maintained 
  • Maintaining base assumptions and data within the model, liaising closely with providers of key information across the organisation to ensure regularly updated 
  • Test, challenge and critically analyse the outputs from the model as base assumptions and inputs are changed 
  • Incorporate sensitivity analysis and scenarios reporting on the impact on cash flow, asset values, returns and funding requirements 
  • Participation in strategic discussions and decision making 
  • Prepare reports that are clear, concise and complete with insightful and key messages highlighted 
  • Adopting best practice when building / maintaining new or existing financial models in Excels 

 

Projects 

Assist the Financial Controller with projects as required. 

Tasks include: 

  • Leading on projects from development of initial scope, production of clear project plans to implementation, managing the project team effectively. 
  • Communicating effectively throughout the project with the Financial Controller and other key stakeholders reporting on progress through clear, informative reports. 
  • Assessing project outcomes and ensuring that any new processes implemented are working effectively and adjusted as appropriate. 

 

Essential skills and attributes: 

Qualifications 

  • Qualified accountant (ACA/CIMA/ACCA) with practical accounting experience post qualification  
  • A knowledge of trusts is preferred but not essential 

 

Skills 

  • Highly numerate and logical with strong appraisal skills 
  • Highly proficient with Microsoft applications, in particular advanced excel skills  
  • Awareness of statistical concepts 
  • Technically up to date with desire to maintain and share this knowledge 
  • Excellent communication (written and verbal) and interpersonal skills   
  • Able to build collaborative relationships with internal and external stakeholders 
  • Excellent attention to detail and dedication to providing quality, error free work to tight deadlines 
  • A desire and ability to learn is essential as well as being interested and inquisitive 

We're looking for an accomplished finance professional who combines strong technical expertise with excellent analytical and people skills.

You'll bring:

Essential

  • ACA, ACCA or CIMA qualification
  • Significant post-qualification accounting experience
  • Strong financial reporting and management accounting knowledge
  • Advanced Microsoft Excel and financial modelling capabilities
  • Excellent analytical and problem-solving skills
  • Strong communication and stakeholder management abilities
  • Exceptional attention to detail and commitment to quality
  • Experience managing competing priorities and meeting deadlines
  • A collaborative and commercially focused approach

Desirable

  • Experience working with trusts, family offices or complex investment structures
  • Knowledge of liquidity management and cash flow forecasting
  • Experience supporting strategic business planning and decision-making

This is an opportunity to join a respected organisation with a long-term outlook, strong values and a collaborative culture. You'll be part of a high-performing finance team where your expertise will make a meaningful contribution, and where you'll have opportunities to develop professionally and broaden your experience across a diverse range of business activities.


In addition to a competitive salary, we offer a generous benefits package including an exceptional pension scheme, enhanced annual leave, single cover private medical insurance, life cover, monthly wellness contribution to be used towards various flexible benefits. We also offer employees the opportunity to get involved in a broad range of unique sports and social events throughout the year.


If this sounds like your next oppurtunity, please click the link below to apply.


To apply for this job please click on "Apply".
To begin your application you will be asked to create an account.

Please carefully read our Recruitment Privacy Notice before proceeding with an application. The privacy notice sets out how Grosvenor obtains, uses and protects the personal information which you provide to us. You can read the notice here - https://www.grosvenor.com/legal/recruitment-privacy-notice

Skills

Excel

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