My client is looking for a Finance Manager for a 3+ month contract to manage month and quarter end accounting, reporting and tax compliance across a portfolio of investor accounts. This is a complex and fast-paced environment, delivering fund accounting services across a range of investors - each with unique reporting requirements, formats, and deadlines. It will suit a highly motivated finance professional who thrives under pressure and enjoys balancing multiple priorities without compromising on accuracy or governance.
Key Responsibilities
- Partnering with Fund Managers to provide end-to-end financial reporting support
- Managing the month end and quarter end reporting timetable across multiple investor mandates
- Preparing and reviewing board reporting papers
- Preparing distribution calculations and reviewing management fee calculations
- Reviewing monthly investor reporting, unit pricing, trial balance and consolidation entries
- Reviewing quarterly statements of taxable income, annual tax returns and monthly BAS workings
The ideal candidate will be CA/CPA qualified, ideally with experience in the Property space. You'll bring a robust knowledge of accounting standards (IFRS), with property and/or funds management experience highly valued and exposure to an ERP such as SAP, Oracle or HFM. An immediate start is required and the role is supervising 1 direct report. You'll also be comfortable managing shifting priorities and ambiguity in a high-pressure environment.
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📌 Finance Manager - Property - 3 month contract (New South Wales)
🏢 Bluefin Resources
📍 New South Wales
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