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Head of European Finance - Real Estate

Job in Greater London, London, Greater London, EC1A, England, UK
Listing for: Corebridge Financial
Full Time position
Listed on 2026-01-13
Job specializations:
  • Finance & Banking
    Financial Analyst, Financial Manager, Financial Reporting, Accounting & Finance
Job Description & How to Apply Below
Location: Greater London

Join to apply for the Head of European Finance - Real Estate role at Corebridge Financial
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Who We Are

At Corebridge Financial, we believe action is everything. That’s why every day we partner with financial professionals and institutions to make it possible for more people to take action in their financial lives, for today and tomorrow.

We Align To a Set Of Values That Are The Core Pillars That Define Our Culture And Help Bring Our Brand Purpose To Life

  • We are stronger as one:
    We collaborate across the enterprise, scale what works and act decisively for our customers and partners.
  • We deliver on commitments:
    We are accountable, empower each other and go above and beyond for our stakeholders.
  • We learn, improve and innovate:
    We get better each day by challenging the status quo and equipping ourselves for the future.
  • We are inclusive:
    We embrace different perspectives, enabling our colleagues to make an impact and bring their whole selves to work.
Who You'll Work With

Corebridge Real Estate Investors has been helping AIG, its affiliate insurance companies, and other institutional investors invest in the real estate equity markets since 1987. This includes sourcing, investing and managing a diversified real estate portfolio with assets under management of $9.2B as of December 31, 2024. The Corebridge Real Estate Investors team is comprised of 120+ investment professionals, including a team of 16 investment and finance professionals located in its London office.

About

The Role

Corebridge Real Estate Investors is seeking a Head of European Finance who will be responsible for the accounting, reporting and treasury aspects within the Corebridge Financial European real estate investment portfolio including funds with third‑party investors. This person will manage a team of three qualified accountants and must be a motivated, detail‑oriented professional who enjoys working in a busy environment with new and complex transactions.

The role requires strong communication skills and the ability to liaise confidently with parties both within and outside the organization.

Responsibilities Team Responsibilities
  • Management and development of the European Finance Team comprising of 3 accountants (including managing goals and appraisals)
  • Lead communication between the Finance Teams, Luxembourg office and internal asset management teams to ensure continuity of close working relationships
  • Management of third‑party relationships with external accountants, service providers and joint venture partners
Financial Reporting Procedures
  • Management of the internal controls and processes for the production of financial statements for directly owned investments and third‑party investor funds.
  • Coordination of investment reporting for all components of the financial reporting received from third‑party accountants, joint venture partners, and internal sources on a timely basis.
  • Review and analyze financial reporting, including GAAP financial statements (under both historical cost and investment company accounting), cash flows, impairments, income tax reporting, and other project‑specific reporting.
  • Proactively identify and resolve technical accounting and reporting issues.
  • Develop accounting policies and procedures and resolve internal control concerns.
  • Coordinate and monitor external audit processes.
  • Ensure submission of accurate Corebridge Financial GAAP and regulatory reporting, budgeting, estimates, and variance analysis as required.
  • Monitor local regulatory compliance for population of local SPVs to ensure all required filings are submitted on a timely basis.
Management of Real Estate Funds
  • Oversee funding accounting responsibilities including calculation of net asset values, management fees, investor allocations and provision of data for investor reporting.
  • Oversee treasury management and cash‑flow projections ensuring preparation of accurate capital call and distribution notices.
  • Manage subscription line facilities including covenant testing.
  • Provide accurate and timely information for investor reporting on a quarterly and ad‑hoc basis.
  • Coordinate the preparation of US tax compliance to ensure it is ready in line with corporate and fund reporting…
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