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Interim Finance Manager | Impact-led Real Estate Business | 6-month Contract. The Client: Harmonic are delighted to be partnering with a purpose-led social impact real estate group focused on tackling the UK's affordable housing shortage. The business partners with Local Authorities to acquire and manage high-quality, demand-driven social and affordable housing across multiple tenures. Backed by institutional capital, the group is in a strong growth phase and is actively expanding its portfolio of homes across the UK. With significant planned acquisitions and continued investment into its finance infrastructure, the business is now seeking a qualified Finance Manager or Financial Accountant to support platform-level reporting, performance management and strategic decision-making. The Role: Reporting into the Finance Director, you will take ownership of financial reporting and performance management for a key platform within the group. You will initially focus on ensuring accurate and timely historical reporting, before progressing into more commercial, forward-looking analysis and strategic support. The role combines financial accounting, management reporting, liquidity forecasting and business partnering. Alongside monthly reporting, you will support audit and statutory processes, enhance financial controls, optimise ERP reporting capabilities and contribute to process improvements across the platform.
Job Responsibility:
Preparation of monthly management accounts
Production of SLT and Board reporting packs with clear variance analysis and commentary
Supporting consolidation into Group monthly and annual accounts
Assisting with year-end audit and tax return processes, responding to auditor queries
Reviewing historic ledgers and enhancing property-level reporting capabilities
Completing ERP migration of legacy data and optimising reporting outputs
Developing and documenting finance processes and controls (including RACI frameworks)
Ownership of rolling liquidity forecasts and capital requirement analysis
KPI reporting, ROI analysis and asset performance assessments
Supporting the roll-out of purchase order systems and delivering training to non-finance stakeholders
Partnering with operational and investment teams to support business planning and capital allocation decisions
Producing updated forecasts and strategic plans with clear risk and opportunity analysis
Requirements:
Qualified Accountant (ACA, ACCA, CIMA or equivalent)
Strong technical accounting knowledge and experience producing management accounts
Experience in long-term financial modelling (property, development, infrastructure or investment environments preferred)
Strong Excel skills and experience working with ERP systems (Business Central advantageous)
Highly organised with excellent attention to detail
Commercial mindset with excellent communication skills
Nice to have:
Exposure to regulated environments (e.g. Asset Management or real estate)
Experience improving ERP reporting functionality or supporting system implementation
Experience in liquidity forecasting and capital planning within asset-backed businesses