Finance Manager - Property Funds at Intuitive Recruitment
Sydney NSW 2000, New South Wales, Australia -
Full Time


Start Date

Immediate

Expiry Date

22 Jan, 24

Salary

0.0

Posted On

22 Oct, 23

Experience

3 year(s) or above

Remote Job

No

Telecommute

No

Sponsor Visa

No

Skills

Accounting Standards, Regulations, Reporting, Financial Services, Asset Management, Legislation

Industry

Financial Services

Description
  • Global Financial Services Group
  • Property Funds
  • Manage & Lead Team of Qualified CA’s
    Our client, an established Financial Services Group with a focus on real estate investments are looking for a Finance Manager due to some recent investment activity
    We are looking for a suitably experienced Finance Manager / Senior Financial accountant to operate in partnership with the Leadership team You will report directly to the Financial Controller and have responsibility for the review of all finance reporting and oversight of property and fund accounting requirements.
    Managing a team of CA qualified accountants and reviewing their work the role has ultimate responsibility for financial reporting, management & property accounting knowledge; business planning and analysis; and broad commercial and technical advice to the business.

SKILLS AND EXPERIENCE

  • Minimum 3 years’ experience in a similar role, ideally CA / CPA qualified along with relevant tertiary qualifications in accounting;
  • Strong experience in analysis and reporting;
  • Management of a team of qualified finance staff
  • Working knowledge of accounting standards and regulations, legislation and management accounting techniques;
  • Demonstrated high level of organisational skill and ability to work under pressure, to deadline;
  • Previous property or infrastructure asset management and investment experience preferred.
    You will have a solid background in financial services and/or Property Funds and be confident in a senior review role and have the ability to multitask across a range of duties. You will have the ability to develop and maintain strong relationships
Responsibilities
  • Property Investment Trust accounting review;
  • Financial analysis and reporting;
  • Managing the annual budgeting process;
  • Managing the monthly re-forecasting and reporting processes including variance analysis;
  • Constructing financial models and tools for management decisions and controls;
  • Work with the accountants onboarding new client
  • Liaise with external auditors and tax accountants with regard to the preparation of tax returns
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