Job Description
You will work closely with the Finance Manager and FC to deliver all statutory financial requirements, including adding commercial value to the Fund Manager and providing both technical and commercial support to your stakeholder group.
Specifically, you are responsible for preparing monthly management reports, variance analysis, monthly balance sheet reconciliations, BAS, monthly unit statements and tax distribution calculations. You will also play a key part in delivering year end financial statements, tax statements and ensuring a smooth audit process.
Ad hoc duties will include ad hoc reporting, analysis, projects and fund onboarding/offboarding.
You're a newly or partly qualified CA (or CPA) qualified, with commercial financial accounting experience from within a corporate environment.
Above all else, you'll be driven, ambitious and looking to challenge yourself and grow your property funds career in one of the industry's leading firms.
For more information, please contact Spencer Bryson on 02 9775 5905. Or to apply, hit the "apply" button.