Your key responsibilities will include;
- Preparation of Monthly, Quarterly & Annual Reporting
- Management reporting for the property funds
- Equity reconciliations
- Preparation, lodgement and payment of BAS/IAS for property trusts
- Balance Sheet Reconciliations
- Oversight of accounts payable and receivable functions
To be successful in this role you must be tenacious, enjoy an agile work environment and be a true team player.
If you are interested in hearing more about this role, please hit 'Apply' or call Savannah Cant on 07 3854 3806.