Reporting to the Financial Controller you will be responsible for the below:
- Detailed review of monthly property level management accounts
- Preparation of the Entity level month end packs including reconciliations
- Preparation of BAS and bank reconciliations
- Ensure Capex tracking and Asset Register maintenance are in place
- Assistance with monthly consolidated portfolio level reporting
- Assistance with quarterly and half yearly management accounts
- Assistance with statutory reporting for entities as required and liaising with auditors on annual audits
- Assistance with annual tax reporting and tax returns
- Assistance with calculating/preparing/collecting Property Fees
- Assistance with the preparation of Budgets and Forecasts
You will only be considered for this role is you are available to start within a week.
If you are interested in this role and have the relevant skillset please click “apply” to submit your CV.