Job Description

Prepare monthly management accounts for PBSA and UK residential real estate portfolios.
Perform rent reconciliation, arrears tracking, and income analysis across student assets.
Deliver clear variance analysis against budgets and forecasts.
Support asset and commercial teams with performance insights and financial analysis.
Maintain strong financial controls and ensure UK accounting compliance.
Complete regular bank reconciliations and resolve discrepancies.
Post journals including accruals, prepayments, and depreciation.
Monitor and update key KPIs relevant to PBSA performance.
Assist with audit requirements and statutory reporting support.
Work closely with operations teams in a fast-paced UK real estate environment.

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