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Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates expertise in financial management of real estate portfolios, including preparation and review of financial statements, investor reporting, and compliance with local accounting standards. Strong analytical and organizational skills are essential for managing fund performance and maintaining relationships with external advisors.
Highest-signal resume keywords
Qualified Accountant (ACA/ACCA/CIMA)Financial ReportingFund ManagementExcel ProficiencyKnowledge of Tax Law
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills
Financial ManagementFinancial ReportingFund Performance MeasurementAccounting Standards KnowledgeAnalytical SkillsOrganizational SkillsInvestment Law KnowledgeProperty ExperienceYardi ExperienceDeadline Driven
Soft Skills
Team PlayerClear Presentation SkillsMature and ConfidentProblem SolvingInitiative
Tools & Technologies
ExcelWordOutlookAccounting SystemsYardi
Certifications & Qualifications
ACAACCACIMABilanzbuchhalter IHKAssistant Tax Consultant
Industry Keywords
Real Estate FundsInvestment PropertiesFund ManagementService-KVGLoan CovenantsDue DiligenceInvestor RelationsTreasury CoordinationFinancial StatementsInvestment Reporting
About the role
Key responsibilities & impact- Financial management of development and investment properties located in Europe
- Provide support to Asset and Fund Managers
- Support the Fund Team in acquiring new assets and managing the existing real estate portfolio
- Manage fund liquidity and measure fund performance in cooperation with the service-KVG
- Prepare and review reporting for internal departments, investors and banks
- Maintain relationships with external advisors and service providers, including managing agents, service-KVGs, lenders and due diligence advisors
- Clarify ad-hoc accounting queries with external property and fund accountants
- Prepare and review year-end financial statements and annual reports
- Prepare investor, bank and quarterly investment reporting
- Prepare financial figures for Investor Meetings and finance sections for quarterly investment reports
- Review monthly service-KVG reports
- Update investor overviews, including shares, investment value, drawn capital and outstanding commitment
- Monitor loan covenants
- Coordinate with treasury, fund management, auditors, managing agents, banks and other third-party service providers
- Liaise across Nuveen to manage financial and operational matters
- Support process standardisation and efficiencies
Requirements
What you’ll need- Qualified accountant (ACA/ACCA/CIMA or equivalent like Bilanzbuchhalter IHK or Assistant tax consultant)
- Property and/or Fund experience is desirable
- Good knowledge of Excel, Word, Outlook and accounting systems; Yardi experience desirable but not essential
- Knowledge of local accounting standards
- Good knowledge in Tax law
- English skills
- Result and deadline driven; able to use own initiative to identify problems and deliver solutions
- Team player with close liaison across finance, operations, fund management and external advisers
- Clear presentation of information to internal and external clients/investors
- Mature and confident, able to deliver against objectives and manage internal and client relationships
- Good analytical, planning and organizational skills
- Interest in investment law, real estate funds and transactions
Benefits
Comp & perks- Hybrid Flex work arrangement
- 12 month Fixed Term Contract
- Meaningful learning experiences and development pathways
- Future-focused skills and AI tools
- Accessibility support for the online application process
