Manager – Property Fund Accounting & Reporting job opportunity at M&G Global Services Private Limited.



DatePosted 29 Days Ago bot
M&G Global Services Private Limited Manager – Property Fund Accounting & Reporting
Experience: Highly Experienced
Pattern: full-time
apply Apply Now
Salary:
Status:

Job

Copy Link Report
degreeMBA
loacation Mumbai, India
loacation Mumbai....India

We are M&G Global Services Private Limited (formerly known as 10FA India Private Limited, and prior to that Prudential Global Services Private Limited). We are a fully owned subsidiary of the M&G group of companies, operating as a Global Capability Centre providing a range of value adding services to the Group since 2003. Our purpose is to give everyone real confidence to put their money to work. With a heritage dating back more than 175 years, we have a long history of innovation in savings and investments, combining asset management and insurance expertise to offer a wide range of solutions.  Our two distinct operating segments, Asset Management and Life, work together to provide access to balanced, long-term investment and savings solutions. M&G Global Services has rapidly transformed itself into a powerhouse of capability that is playing an important role in M&G’s ambition to be the best loved and most successful savings and investments company in the world. Our diversified service offerings extending from Digital Services (Digital Engineering, AI, Advanced Analytics, RPA, and BI & Insights), Business Transformation, Management Consulting & Strategy, Finance, Actuarial, Quants, Research, Information Technology, Customer Service, Risk & Compliance and Audit provide our people with exciting career growth opportunities. Through our behaviours of telling it like it is, owning it now, and moving it forward together with care and integrity; we are creating an exceptional place to work for exceptional talent. Role: Manager - Property Fund Finance Function: Investment Operations Sub Function: Property Fund Finance Location: Mumbai Shift: UK hours Job Purpose: The Property Fund Finance team is responsible for the financial operations of property funds managed by M&G Real Estate. The applicant will be responsible and accountable for the provision of financial control and oversight services to growing range of funds and mandates investing in UK and Irish real estate. Key Responsibilities: The applicant will be responsible for providing financial control and oversight services to the following: A new M&G Multi Family Housing Partnership ‘NPS’ (Joint-Venture investing in UK multi-family residential properties requiring quarterly reporting). A new Euler ICAV (closed ended fund investing in Irish multi-unit residential properties requiring quarterly reporting) Fund launch and operational set up Support senior management in the launch and set up of the new mandates. Act as a key PFF representative, attending operational and project working groups. Ensure collaboration with Fund management, legal, compliance and operations in order to facilitate the establishment of the new mandates/JV and operational readiness. Actively liaise with new stakeholders to understand the accounting requirements for the new products and to ensure end to end processes are implemented and financial reporting frameworks are tailored to each mandates structure and jurisdiction Ensure timely input into the operational and accounting manual for the new products and ensure preparation of appropriate controls and process notes are in place, pre-launch. Coordinate with fund administrators to ensure seamless onboarding process. Oversight of regular reporting The Manager will be responsible for reviewing and approving, monthly/quarterly reporting packs, NAV’s, distribution calculations and other financial information prepared by outsourced service providers, and also prepare performance reporting files, as well as any regulatory reporting.  The Manager is responsible for the oversight of these processes, and the review of complex transactions within the  reporting, as well as liaising with our JV partners/Investors. Review of the annual financial statements prepared by the administrators, under the applicable accounting standards and managing the annual audit process.  The Manager will carry out a final review of all financial statements, prepared by the administrator, prior to their presentation to the respective boards. Supplier management Responsible for the management of supplier relationships for accounting  service providers, including ensuring they are adequately instructed, responding to accounting queries, monitoring and reviewing outputs and ensuring that the fund is receiving the appropriate level of service The Financial Control & Oversight team is responsible for day to day liaison with the service providers, with the Manager responsible for issues resolution and attendance at relationship meetings Budgeting & Forecasting The Manager is responsible for the coordination and review of budgets prepared by the outsourced service providers, to include consolidation of the underlying budgets into a JV/Fund budget if required, as well as reviewing JV/Fund level variance analysis of actual results to budget, prepared by the administrator. Where applicable this will be monitored against the annual business plan. The Manager is responsible for ensuring that adequate preparation and review procedures exist.              Transactions & Corporate Finance Review of financial due diligence and legal agreement, in relation to share/asset acquisitions and disposals, to ensure commercial terms support desired accounting treatment. Support with the on-boarding of new acquisitions, including agreement of service provider scope, ensuring service providers are adequately informed and instructed, preparation of detailed accounting memos and agreement of accounting treatment with auditors. Supporting the arrangement of internal financing, e.g. review of funding diagrams and management of funding lines, and movement of cash through the fund structure in conjunction with the administrator. Compliance Oversight of fiscal and loan compliance processes where applicable. Maintenance of management information reporting and risk registers. Ensuring that procedures are fully documented and kept up to date. Ensuring appropriate issues escalation and resolution. Provision of ad-hoc accounting / financial support to the business The Manager will be the main point of contact for the business in relation to theses mandates. The role includes the provision of advice and support on a number of ad-hoc projects and issues, which may involve: Changes to JV/fund terms / documentation Responding to requests from investors Responding to legislative / regulatory changes Responding to industry guidance, Service provider reviews Implementation of new / enhanced accounting systems General Provision of cover to other Managers as required Provision of cover to Director during times of absence. Assistance with ad-hoc projects covering various elements of the work of the Property Fund Finance team. Ensuring that accounting procedures are fully documented and kept up to date Attendance at weekly/quarterly fund meetings Review and input into the quarterly investor report process Knowledge & Skills: Strong technical knowledge of UK GAAP and IFRS Good experience of financial statutory accounting Property financial accounting experience (preferably including exposure to institutional property funds) Self-motivated with a diligent and detailed approach to completing tasks Strong analytical skills. Able to understand, question and challenge a range of financial data Confidence to communicate effectively with a range of internal and external parties Flexible and proactive approach Strong team work skills to work collaboratively with other Managers and team members to deliver together This will be a highly visible role so requires someone with an approachable personality, strong focus and first class communication skills. Excel (to advanced level is desirable) Knowledge of Yardi Voyager system is beneficial Experience & Qualifications: Degree or AAT qualified ACA/ACCA/ACMA qualified accountant (or equivalent) Min 5 years' experience in the Domain Note: *We are in Hybrid working with three days’ work from office (subject to policy change) We have a diverse workforce and an inclusive culture at M&G Global Services, regardless of gender, ethnicity, age, sexual orientation, nationality, disability or long term condition, we are looking to attract, promote and retain exceptional people. We also welcome those who take part in military service and those returning from career breaks.

Other Ai Matches

Senior Manager - CTO - Enterprise Voice SME Applicants are expected to have a solid experience in handling Job related tasks
AVP - Release Management Applicants are expected to have a solid experience in handling Job related tasks
Senior Manager Data & Analytics Applicants are expected to have a solid experience in handling Job related tasks
Business Analyst - Investment & Ops Applicants are expected to have a solid experience in handling Job related tasks
Senior Manager - Data Designer Applicants are expected to have a solid experience in handling Job related tasks
Senior PL/SQL Developer Applicants are expected to have a solid experience in handling Job related tasks
Senior Business Data Analyst - FTC Applicants are expected to have a solid experience in handling Job related tasks
Technology Internship (Stirling) Applicants are expected to have a solid experience in handling Job related tasks
Sr Business Analyst Applicants are expected to have a solid experience in handling Job related tasks
Finance Change & Data Lead - Senior Accountant Applicants are expected to have a solid experience in handling Job related tasks
Senior Manager - CTO - Enterprise Voice SME Applicants are expected to have a solid experience in handling Job related tasks
Senior Manager - Investments Applicants are expected to have a solid experience in handling Job related tasks
Sr Manager - Front Office Support Applicants are expected to have a solid experience in handling Job related tasks
Pricing Associate Applicants are expected to have a solid experience in handling Job related tasks
Senior Audit Manager - Technical Finance Applicants are expected to have a solid experience in handling Job related tasks
Brand Manager Applicants are expected to have a solid experience in handling Job related tasks
AVP – CTO - Cloud Engineer Applicants are expected to have a solid experience in handling Job related tasks
Optimisation Senior Specialist Applicants are expected to have a solid experience in handling Job related tasks
AVP – CTO - Collaboration and Voice Team Lead Applicants are expected to have a solid experience in handling Job related tasks
Vice President Engineering - Back End Applicants are expected to have a solid experience in handling Job related tasks
Senior Manager Data & Analytics Applicants are expected to have a solid experience in handling Job related tasks
Technical Accountant Applicants are expected to have a solid experience in handling Job related tasks
AI Practice & Innovation Lead Applicants are expected to have a solid experience in handling Job related tasks