About Our ClientKnown for its expertise in commercial real estate and financial services, this
ASX Listed Asset Management Business is a market leader in managing and investing in various property portfolios.
Job Description- Prepare reporting packs and respond to stakeholder queries.
- Work with property management on financial analysis and forecasting.
- Code all capex works accurately.
- Monthly preparation, analysis, and commentary for assigned properties.
- Provide ad-hoc analysis and train new Property Managers on systems.
- Prepare outgoings and general ledger reconciliations.
- Support integration of new properties and closure of sold/transferred properties.
- Participate in special projects.
- Develop the monthly finance schedule.
- Monthly reconciliations for property-level bank accounts, including security deposits.
- Guide property and assistant accountants.
- Perform monthly reconciliations.
- Ensure accuracy of accruals, journals, and bad debt provisions.
- Identify and implement process improvements.
The Successful ApplicantPossesses a degree in Accounting and holds a CA/CPA qualification, with a preference for prior property experience. Proficient in reporting, analytics, and using accounting systems, particularly advanced Excel skills. Must be adept at meeting monthly deadlines, analysing data critically, and effectively prioritising tasks, especially during busy periods.
What's on Offer- Work in an ASX Listed Business.
- Hybrid working arrangement.
- Social work environment.
- Opportunity for future career progression.