Our client is an Australian-based real estate investment management business with approximately $1.5bn in AUM and a strong growth trajectory. With a fully integrated platform spanning investment, funds management, asset management and development, the business is well capitalised and positioned for continued expansion.
The Role
Reporting to the Financial Controller, this role offers broad exposure across financial reporting, fund accounting, tax compliance and investor administration within a sophisticated institutional property environment.
Key Responsibilities
- Manage month-end close activities including reconciliations, accruals and journal entries across fund and SPV entities
- Prepare variance analysis and investigate budget movements
- Process accounts payable, intercompany transactions and corporate fee allocations
- Prepare monthly and quarterly BAS returns
- Assist with trust tax calculations, audits and compliance reporting
- Maintain investor unit registers and support investor reporting
- Support entity setup, KYC processes and company secretarial administration
- CA/CPA qualified or currently completing
- 2–4 years’ accounting experience, ideally within property, funds management or real estate investment
- Understanding of property trusts and investment structures
- Strong Excel skills; Yardi experience advantageous
- Highly organised with strong attention to detail
- Able to manage competing priorities and meet deadlines
- Proactive, collaborative and confident communicating across teams



