Job Description
More specifically, you'll work on the delivery of monthly P&Ls for a portfolio of listed & unlisted funds, cashflow reporting, balance sheet accounting, budgeting & forecasting. As well as investor reporting, assisting in handling investor queries and providing commercial & technical support to the Fund Managers & Asset Manager.
You will also be instrumental in the provision of technical accounting advice around ad hoc scenarios and significant transactions (such as acquisitions, divestments, IPOs and other capital transactions). And in conjunction with the wider team, you'll contribute to change management strategies and help drive continuous process improvement.
You are an experienced, ambitious CA (or CPA), ideally trained in a Big 4 or mid tier environment and with excellent technical experience in Australian accounting standards.
Commercial property experience and/or funds management experience (preferably property funds) will be required. Whilst intermediate - advanced Excel skills will be well regarded.
Above all else, you'll be an excellent communicator, confident, and skilled at dealing with stakeholders at all levels and across all disciplines.
For more information, please contact Spencer Bryson on 02 9775 5905. Or to apply, hit the "apply" button.