Department Finance & Investment
Reports To Chief Investment Officer (CIO)
Employment Type Full-Time
Location To Be Confirmed
Role Overview
- The Finance & Data Associate is a junior finance role designed to support the Data & Finance Manager in executing the day-to-day financial operations, data management, and reporting functions of the investment holding and its portfolio companies. The Associate will work across all seven core workstreams — gaining hands-on exposure to client deposit coordination, treasury operations, financial reporting, budget tracking, cash flow monitoring, team operations, and sales data analysis — with a focus on accurate execution, data integrity, and timely delivery.
Key Responsibilities
Client Deposits & Treasury Coordination
- Coordinate with the sales team to facilitate and track client deposit payments, ensuring all deposits are received, recorded, and reconciled on schedule.
- Maintain a real-time client deposit register, tracking payment status, due dates, instalment schedules, and outstanding balances across all projects.
- Liaise with clients, agents, and the sales team to follow up on pending deposits and resolve payment-related queries in a timely manner.
- Support treasury operations by monitoring incoming deposit flows and updating cash position records to reflect the latest collection data.
- Assist in preparing deposit collection reports and summaries for review by the Data & Finance Manager.
Banking & Investor Relations Support
- Assist in preparing banking documentation, including account opening forms, KYC/AML packages, and correspondence with financial institutions.
- Compile and format data for investor reporting packs under the direction of the Data & Finance Manager.
- Maintain an organised filing system for all banking and investor-related documents, ensuring version control and accessibility.
- Track covenant and reporting deadlines, flagging upcoming obligations to the Manager in advance.
- Support due diligence data room preparation by gathering and organising required financial information.
Financial Reporting
- Collect, clean, and consolidate financial data from portfolio companies and internal systems in preparation for management reports.
- Maintain and update standard reporting templates (P&L, balance sheet, cash position) on a monthly basis.
- Perform basic variance analysis (budget vs. actual) and prepare supporting schedules for review by the Manager.
- Ensure all data inputs are cross-referenced against source documents before reports are finalised.
- Assist in building and maintaining financial dashboards and trackers that provide real-time visibility into key metrics.
Budget Tracking & Analysis Support
- Collect and consolidate budget submissions from portfolio companies into standardised templates for management review.
- Maintain up-to-date budget-vs-actual trackers across all entities and projects, updating them as new data is received.
- Flag budget variances, cost overruns, or missing submissions to the Data & Finance Manager on a timely basis.
- Assist in preparing variance commentary and supporting schedules ahead of management review meetings.
- Support portfolio company finance contacts in completing data submissions accurately and on time.
Cash Flow & Collections Support
- Update the weekly cash flow forecast with actual receipts and payments, ensuring the model reflects the latest position.
- Track receivables and cash collection schedules across projects, flagging overdue items to the Manager.
- Assist in monitoring intercompany cash transfers and reconciling movements between project accounts.
- Prepare cash position summaries and liquidity snapshots for management review.
- Maintain an organised record of bank statements, transfer confirmations, and collection receipts.
Team & Operations Support
- Assist in onboarding new team members by preparing induction materials, system access requests, and process documentation.
- Maintain and update team procedures, process guides, and standard operating templates to ensure consistency.
- Support the Manager in tracking team deliverables, deadlines, and performance milestones.
- Coordinate scheduling, materials preparation, and follow-up actions for internal finance team meetings.
- Contribute to a culture of accuracy and continuous improvement by proactively identifying process inefficiencies.
Sales Data Collection & Analysis
- Collect and input sales data from portfolio companies and projects into standardised tracking templates on a regular basis.
- Perform data validation checks to ensure completeness, consistency, and accuracy of all sales inputs.
- Maintain up-to-date sales trackers, pipeline logs, and revenue summaries across all active projects.
- Prepare regular sales performance summaries and trend reports for review by the Data & Finance Manager.
- Liaise with business development and project teams to ensure timely submission of sales data and resolve data gaps.
Qualifications & Experience
Education
- Bachelor’s degree in Finance, Accounting, Economics, or a related field (required).
- Progress toward a professional qualification (CFA, ACCA, CPA, or CMA) is an advantage but not required.
Experience
- 0–3 years of experience in finance, accounting, financial analysis, or a related role.
- Internship or entry-level exposure to investment holding, corporate finance, real estate, or multi-entity environments is preferred.
- Demonstrated ability to handle financial data accurately and meet deadlines in a structured environment.
Technical Skills
- Solid proficiency in Microsoft Excel (pivot tables, VLOOKUP/XLOOKUP, basic financial formulas).
- Comfortable working with structured datasets; ability to clean, validate, and organise financial data.
- Experience with or willingness to learn financial reporting tools and ERP systems.
- Familiarity with BI tools (Power BI, Tableau) is an advantage but not required.
Core Competencies
Attention to Detail
- Treats data accuracy as non-negotiable; double-checks work before submission and flags discrepancies immediately.
Reliability & Ownership
- Delivers assigned tasks on time and to standard; takes responsibility for the quality of their own output.
Structured Thinking
- Organises work methodically; able to manage multiple recurring tasks without losing track of deadlines or details.
Willingness to Learn
- Actively seeks to understand the ‘why’ behind tasks; eager to develop financial analysis and reporting skills.
Team Collaboration
- Works cooperatively with the Manager and cross-functional teams; communicates clearly and escalates issues promptly.
Data Integrity Mindset
- Understands that decisions are only as good as the data behind them; takes pride in clean, well-organised work.
Interested candidates can apply by clicking the link provided in the "Apply" button.