Richard Gore Email and Phone Number
Richard Gore work email
- Valid
- Valid
- Valid
- Valid
Richard Gore personal email
Richard Gore phone numbers
As a Group Finance Director at Oakglen Group, I leverage my 20+ years of experience in private equity, financials services and real estate finance to provide strategic direction and execution for the firm's investments and operations. I am a Chartered Accountant with a track record of managing complex transactions, delivering superior returns, and enhancing communication across teams and stakeholders.I am passionate about adding value to the finance and leadership roles wherever possible, and I have consistently demonstrated the ability to bridge gaps between front office and back office functions. I have also successfully managed and executed multiple acquisitions and divestments of businesses and assets, working with external professionals to achieve objectives and unlock maximum value. I am motivated by the challenge and opportunity of working in a dynamic and fast-growing investment platform.
-
Group Finance DirectorOakglen Sep 2024 - Present -
Finance DirectorCorten Capital May 2023 - Aug 2024London, England, Gb -
Chief Financial OfficerReditum Capital Mar 2016 - Apr 2023Reditum Capital is a global investment platform focused on two central goals: delivering superior risk-adjusted returns for our investors and providing flexible finance solutions to our partners. Reditum Capital was founded in 2013 and has deployed over £540m of funding in over 100 projects to date and is based in London.I am an Executive Director alongside my role as CFO.My key responsibilities included:- Managing 3 post qualified accountants;- Alongside my CFO role, I also performed the COO role for the business by enhancing communication between the 3 main teams within the business;- Management relationships and communication between key members of the leadership team;- Leading all structuring opportunities for investors, including managing multi-currency issues and withholding tax (via listed debt structures);- Executing new listed debt structures in Ireland, Frankfurt and Cyprus;- Key liaison alongside Managing Director for managing cornerstone investors;- Responsible for specific asset management projects end to end;- Key role as CFO was managing senior loan refinancing for underlying assets and the corporate business; - Responsible for managing key supplier relationships and commercial negotiations; and- Design and implementation of key accounting policies and procedures.
-
Finance DirectorReditum Capital Apr 2015 - Mar 2016My responsibilities included:- Managing a finance team of 2 (1 accountant and 1 credit controller);- Providing financial accounting support to two other start-up businesses (which were funded by Reditum Capital) being webuyanyhome.com and Castle Property Group;- Providing strategic direction to new start-up businesses under the Reditum Capital umbrella including designing appropriate remuneration structures;- Key role was to manage and execute a corporate sale of the Reditum Capital funds under management. This included liaising with lawyers and accountants on both sides. This was successfully executed in March 2016 after a 6 month DD process;- Responsible for managing external boards in relation to 5+ listed PLCs under the Reditum Capital umbrella;- Responsible for cash flow management across the Reditum Capital businesses; and- Key contact with auditors across Reditum Capital and its related businesses.
-
Global Head Of Corporate And Funds AccountingPantheon Ventures Aug 2014 - Apr 2015London, GbPantheon Ventures is a leading global private equity fund investor, managing regional primary investments, global secondary and infrastructure investments and customised separate account programmes. Pantheon Ventures has around 450 staff worldwide, managing US$89.0 billion of assets with its head office based in London.My key responsibilities included:- Managing a team of 6 (4 post qualified and 2 analysts);- Managing the both the funds and corporate audit process for 120+ entities across multiple jurisdictions;- Leading the automated Client Reporting system development, liaising with both technology and the business to deliver the solution;- Review of regulatory reporting including AIFMD, FCA and SFC; and- Preparing detailed accounting policies regarding new jurisdictions and revenue generating business changes. -
Corporate And Funds ControllerPantheon Ventures Dec 2011 - Aug 2014London, GbMy responsibilities included:- Managing 3 staff (2 qualified, 1 analyst) including development and training requirements for this team and annual appraisal process;- Leading the annual audit process of 100+ Pantheon funds and separate account clients (under UK, US, and IFRS rules) with three different audit firms including negotiation of audit fees and new fund engagements;- Key participant in the project to move all Pantheon funds to one administrator during 2012 (including managing the transfer of any in-house funds);- Managing internal fund administration function for key separate client accounts;- Responsible for the accounting review of Pantheon International Participations PLC (Listed) including the review of company announcements, newsletters and statutory accounts including attendance at Audit Committee meetings;- Preparing monthly corporate accounting consolidation for Pantheon Group entities;- Key contact for the partnership income distribution process for all partners;- Key liaison with corporate auditors for statutory reporting under three different accounting standards (HK GAAP, US GAAP and UK GAAP);- Preparing and maintaining documentation of all fund administration processes in order to meet ISAE 3402 requirements;- Preparing and maintaining documentation of all corporate and fund reporting functions in order to meet SOX requirements; and- Key contact with administrators for accounting issues and new accounting standard developments. -
Senior Associate Fund AdministratorPantheon Ventures Jul 2011 - Dec 2011London, GbMy responsibilities included:- Preparing monthly and quarterly reporting for 20+ in-house managed funds under both UK and US GAAP;- Managing fund payments and new fund establishment processes with banks and auditors;- Managing the process of outsourcing 19 in-house managed funds to third party administrators;- Managing the audit process of 20+ funds with two different audit providers; and- Preparing information for tax returns and withholding taxes for foreign investors. -
Assistant Vice PresidentBarclays Investment Bank Sep 2010 - May 2011New York, Ny, UsBarclays Natural Resource Investors (“BNRI”) was a global private equity business focused on natural resource investment opportunities. BNRI was founded in 2006 as part of Barclays Capital and following a management buyout in October 2015 currently has circa US$3.0bn of equity to separate portfolio companies and management teams under its new name, Global Natural Resource Investments.My responsibilities included:- Preparing monthly accounting and statutory reporting for several individual portfolio businesses;- Reviewing the quarterly/semi-annual internal valuations conducted for the individual businesses by the Front Office team;- Reviewing legal documentation in relation to new transactions;- Preparing the weekly update reporting for the BNRI group provided to the Front Office team and senior business managers;- Assisting with the cash management including close liaison with Front Office team;- Preparing the monthly BNRI Group management reporting provided to the Front Office team and senior management including analysis of FCA requirements;- Preparing quarterly deal reports provided to the Front Office team, including review of minority interest positions;- Assisting with the implementation of the new financial accounting/CRM system; and- Preparing reports for inclusion in EBA/FCA submissions for stress testing the Private Equity business with the Barclays Capital business. -
Project And Financial AccountantLivingbridge Jun 2008 - Aug 2010London, GbLivingbridge is an independent private equity company investing in companies typically valued up £300m. Current assets under management are around £3.5bn across the UK, Australia and US and the business is headquartered in London.My responsibilities included:- Leading the outsourcing of the accounting function for VCT including the selection process and completion of an Accounting Manual for the outsource provider;- Completing fund accounting and statutory reporting for a listed VCT and assisting with the review of the other 4 VCT funds;- Preparing fund raising financial models for the VCT’s and reviewing of HMRC’s tax rules applicable to those funds (i.e. 70% test rule);- Seconded for a 6 months to the accounting team for the management company where I compiled an Accounting Manual and implemented various other process improvements;- Designed reporting charts and templates to cover compliance for a newly created OEIC including spreadsheets to simplify the reporting of performance against listed benchmarks via Bloomberg for quarterly board reporting;- Key participant in the quarterly forecasting and the annual budget for the management company;- Key participant in the preparation of financials and presentations for prospectus fund raisings for the VCT’s; and- Responsible for VCT financial reporting while senior manager was on leave for 1 month including management of 3 additional staff. -
Financial Accounting ManagerVicinity Centres Jul 2003 - Mar 2008Chadstone, Victoria, AuCentro Properties Group was a fully integrated retail property ownership and services organisation involved in retail property ownership, leasing, redevelopment and funds management. The company owned properties in Australia, US and New Zealand valued at AUD$22.6 billion and was listed on the Australian Stock Exchange. The company was renamed and merged with Vicinity Centres in Australia in 2015, whilst the US business was acquired by Blackstone in 2011 and renamed as Brixmor Property Group.My responsibilities included:- Management of the financial accounting and treasury back office teams including management of 7 staff;- Secretary and participant in the Finance Committee whose members include the CEO, CFO and Corporate Treasurer and manage the debt and hedging for the Group;- Review of the financial section of the board reporting provided on a monthly basis including monthly reforecasting, and semi-annual statutory reporting under IFRS;- Key participant in the annual business plan preparation including ownership of the corporate financial model and collating inputs from various teams including the US operations;- Assisting the Corporate Finance team in sourcing additional finance and establishing workable banking covenants, including maintenance of the corporate cashflow model;- Assisting with the preparation of prospectus documents for mergers, and the creation of the listed Centro Retail Trust including all financial modelling;- Seconded to the US (Los Angeles) for 4 months post a joint venture acquisition to assist with the creation of monthly reporting and finalisation of acquisition accounting; and- Key contact with auditors on the Centro Properties Group statutory reporting on a semi-annual basis. -
Audit SeniorMoore Stephens Hf Jan 2000 - Jul 2003Moore Stephens HF was a member of an international network of independent chartered accounting firms providing tax, audit and business services. The Melbourne practice has now been purchased by ShineWing Australia.My responsibilities included:- Leading teams of 4 junior staff on executing external audits across various industries, focused on entertainment, hospitality and real estate;- Preparation of financial statements for listed and unlisted clients;- Preparation and review of external audit files;- Conducting internal audit and agreed upon procedure engagements for external clients; and- Conducting reviews of prospectus documents and financial models for external client fund raisings.
Richard Gore Skills
Richard Gore Education Details
-
Chartered Accountants Australia And New ZealandAccountancy -
Deakin UniversityBachelor Of Commerce (Bcom) -
Newcomb Secondary CollegeHigh School
Frequently Asked Questions about Richard Gore
What company does Richard Gore work for?
Richard Gore works for Oakglen
What is Richard Gore's role at the current company?
Richard Gore's current role is Group Finance Director @ Oakglen | Chartered Accountant.
What is Richard Gore's email address?
Richard Gore's email address is ri****@****eon.com
What is Richard Gore's direct phone number?
Richard Gore's direct phone number is +4475086*****
What schools did Richard Gore attend?
Richard Gore attended Chartered Accountants Australia And New Zealand, Deakin University, Newcomb Secondary College.
What skills is Richard Gore known for?
Richard Gore has skills like Financial Accounting, Financial Analysis, Accounting, Finance, Financial Modeling, Due Diligence, Financial Reporting, Corporate Finance, Management, Mergers And Acquisitions, Internal Controls.
Free Chrome Extension
Find emails, phones & company data instantly
Aero Online
Your AI prospecting assistant
Select data to include:
0 records × $0.02 per record
Download 750 million emails and 100 million phone numbers
Access emails and phone numbers of over 750 million business users. Instantly download verified profiles using 20+ filters, including location, job title, company, function, and industry.
Start your free trial