Job Description
The key focus of the role is the preparation and provision of monthly business unit expense analysis, forecasts, analysis and insights for the Group across key business functions and divisions as well as to the finance leadership group.
You will provide reporting, analysis and insight in connection with monthly results, including prepare budgeting and forecasting for designated sectors and business units.
In addition you will be responsible for the Group's co-investments in property funds and reporting on results in the group management report. You will manage the Group's development accounting, including liaision with relavent development managers and analysts. You will also manage the Group's fixed asset register including accounting for current and completed project spend.
Finally you will prepare the monthly, bi-annual and ad hoc reporting and commentary. You will also be responsible for the Trust Group's annual taxation compliance including preparation of taxation components and income tax returns.
To be considered for this role you will be CA/CPA qualified with 3-5 years experience. Property funds management experience would be highly regarded.
You will have the ability to think business wide and deliver insights through analysis. Previous experience working in a complex, multi-divisional organisation will be highly regarded.
For more information please call David Coupe on 9775 5906, or hit 'Apply'and send through your CV.