A rapidly growing real estate investment fund business is expanding its UK operations and creating an additional role within its finance team. The organisation owns, manages and operates real estate assets within complex fund, corporate, and financing structures, creating a need for a dedicated Treasury Manager to strengthen liquidity planning, debt management, and treasury operations.
This role offers the opportunity to shape and enhance a developing treasury function in a business entering an exciting phase of growth. The successful candidate will take ownership of forecasting, funding, covenant compliance, treasury controls, and treasury-related reporting, working closely with senior internal and external stakeholders.
The role would be well suited to a commercially minded treasury professional looking to shape the function as they continue their growth journey over the coming years.
Key Responsibilities include:
Cash-flow & Liquidity Management
- Build and maintain detailed short- and long-term cash-flow forecasts across multiple entities, portfolios, and fund structures
- Ensure liquidity is optimised for operational needs, investment activity, and strategic planning
- Analyse variances between actual and forecast cash-flows, providing clear insights to management
- Support capital planning including investor capital calls and fund-level liquidity monitoring
Loan & Debt Management
- Manage loan drawdowns, utilisation requests, and interest/capitalisation calculations
- Maintain accurate schedules for interest, financing costs, amortisation, and debt service obligations
- Prepare monthly reconciliations of loan balances and support refinancing analysis
- Maintain complete records of loan terms, covenants, maturities, intercompany loans, and funding flows
Covenant Monitoring & Lender Reporting
- Maintain up-to-date covenant models, forecasts, sensitivities, and headroom analysis
- Provide proactive early warning of covenant risks and support mitigation planning
- Prepare covenant certificates, lender reporting packs, and supporting commentary
Distribution & Intercompany Planning
- Model and plan intercompany and fund distributions, ensuring compliance with facility agreements, tax requirements, and REIT obligations
- Maintain accurate schedules of distributable reserves and REIT distribution requirements
- Work with finance and tax teams to ensure efficient, lawful execution of distributions
Treasury Operations & Controls
- Oversee payment processes, cash transfers, bank reconciliations, and account administration
- Strengthen treasury controls, approval processes, and reporting frameworks
- Maintain comprehensive records of bank accounts, mandates, and operational workflows
- Support system improvements, process enhancements, and the implementation of best-practice treasury procedures
- Contribute to board materials, resolutions, and documentation relating to treasury matters
Additional Support Within Finance Function
- Collaborate with the finance team on accounting, reporting, audits, and internal reviews
- Provide ad-hoc financial modelling, scenario analysis, and support for strategic initiatives
What they are looking for in a successful candidate:
- Qualified accountant or treasury professional would be desirable
- Strong experience in treasury, ideally within real estate investment management or development
- Advanced Excel and financial modelling capabilities with exceptional attention to detail
- Confident managing debt structures, covenants, intercompany loans, and multi-entity cash-flows
- Strong communicator who can build effective relationships across internal teams and external stakeholders
- A collaborative team player with a continuous improvement mindset
If this sounds like a role that would be well suited to your experience and skill set then please apply now. Alternatively, if you would like to know more about the position then please contact Joseph Morris at deverellsmith for a confidential conversation.
