On behalf of our client, a real estate company, we are looking for a Financial Analyst to be based at their offices in Limassol, Cyprus.
Main Duties and Responsibilities:
- Develops, maintains, and updates detailed cash flow models at both project and portfolio level
- Forecasts cash inflows and outflows across construction costs, land payments, sales proceeds, and financing activities
- Aligns cash flow forecasts with project programmes and cost plans provided by the wider team
- Prepares multiple scenarios (base, upside, downside) to support risk evaluation and informed decision‑making
- Monitors actual cash movements against forecasts and produces clear variance analysis
- Updates models on a regular basis to reflect changes in programme, costs, sales performance, or funding structure
- Prepares and presents monthly cash flow reports for senior management, investors, and lenders
- Supports funding drawdown processes by delivering accurate, timely cash flow information to financiers
- Works closely with the finance team to reconcile cash flow forecasts with management accounts
Job Requirements:
- Degree in Finance, Accounting, Real Estate, or a related field
- 3+ years of experience in financial modelling, cash flow management, or development finance within real estate
- Strong understanding of real estate development economics, land, construction, sales, and funding structures
- Ability to interpret cost plans, project programmes, and contractor payment schedules
- Confident communicator, able to present complex financial data clearly to non-finance stakeholders
- ACA, ACCA, CIMA qualification (or working towards) will be considered advantageous
Benefits:
- An attractive remuneration package
- Annual Bonus compensation based on performance
- Sport Benefit Membership
- Professional development opportunities
- A rewarding Employee Referral Program
- Flexible working hours
All CVs will be handled with the utmost confidentiality.