Company
This prominent Real Estate Family Office stands at the forefront of the industry as an active developer and investor across diverse asset classes.
Role
You will have overall financial and management reporting responsibility for a portfolio of diverse Real Estate assets.
- Full accountability for profit and loss
- Monthly cash management, cashflow reporting, re-forecasting and budgeting
- General ledger analysis, journals and reconciliations
- Prepare monthly reporting packs including balance sheet reconciliations, profit and loss analysis and variance commentaries
- Maintain and update fixed assets register for portfolio
- Prepare outgoings reconciliations on a monthly, quarterly & annual basis
- Provide advice to enable continuous improvement in the standards and practices of financial systems including the implementation of new systems.
Person
You will be CA/CPA qualified with Public Practice (Business Services) or Property Accounting experience. You will embrace a smaller office environment, a hands-on approach, and you are pro-active and confident presenting and communicating with senior members.
- Flexible and adaptable to handle multiple tasks and work to meet deadlines
- Ability to work independently and in a team environment
- Property knowledge/experience is highly desirable
- Pro-active, innovative, energetic, driven, self-motivated
- High level of accuracy and attention to detail
- Excellent communication and presentation skills
- Ability to work with Executive members
Apply
To apply, please send your resume in word format via Seek.
Applications may take 3 - 5 days to process and due to high volumes of applications only successful applicants will be contacted.