|Job Title:||Trust Accountant|
|Job Published:||May 12, 2021 10:45|
You'll be responsible for the monthly accounting, financial reporting, tax prep & reconciliations for a listed property fund.
More specifically, you'll handle the maintenance of the trust accounts, distribution calcs, consolidated reporting (in Hyperion) and provision of support to the Fund Analysts.
You'll also assist with the Fund's stat accounts, audit requests, production of the year end and half year reporting packs and management reporting (including variance analysis & commentary).
Finally, you'll handle income tax calcs, BAS, fixed assets and you'll assist with cashflow & debt reporting requirements.
You are a CA or CPA qualified Accountant, with approximately 4-6 years' relevant trust, fund or financial accounting experience, either in a property, legal or financial services firm. You may have trained in an audit or business services environment, before making the move into commerce.
Additionally, you'll be well versed in Australian tax and will have excellent written & verbal communication skills.