05 Aug
|
Titan Capital
|
New South Wales
05 Aug
Titan Capital
New South Wales
At
Titan Capital,
we're a non-bank lender providing competitive mortgage-backed loan products to the Australian market. Our focus is on helping customers with their lending needs by providing unparalleled service and thinking outside-of-the-box to find tailored solutions specific to their requirements. We are an energetic and innovative team, but serious about what we do.
About the Role
We now have an exciting opportunity to join our dynamic finance division as an
Assistant Fund Accountant
. This role forms an integral part of the funds management team, where you'll support the delivery of daily, weekly and monthly tasks predominantly for our managed investment scheme product portfolio by handling accounting, taxation, and investment records that enable clear oversight and facilitate external reporting.
In addition to bookkeeping, statutory and regulatory tasks such as ensuring timely tax reporting (e.g., IAS, BAS, and income tax returns), preparing financial statements and facilitating audits, you will also be responsible for ongoing fund management, such as regular reporting and managing the investor registry. The Assistant Fund Accountant role works collaboratively with both internal teams and external clients to address operational matters effectively.
You'll thrive in a fast-paced, high performing team setting, applying your astute accounting skills and strong analytical mindset to deliver on time, accurate information, with the opportunity to streamline processes and make enhancements where you can!
Responsibilities
General bookkeeping tasks, including accounts payable, receivable, and bank reconciliations
Assist with operational tasks
Assist with month end - journals and posting
Assist with preparation of statutory reporting - activity statements, tax returns
Assist with maintaining unit register
Preparation of month end / quarter end / annual investor reporting
Assisting in the annual audit of the funds and preparation of the fund financial statements
Ensuring that non-routine fund transactions, including new investments, are properly recorded
Ensuring that distributions are accurately completed
Processing of new investors and investor transfers
Compile and distribute monthly management reports
Pro-active contribution to, and support of, the planning and implementation of strategic initiatives and process improvements
Why Join Us?
Our people are our focus, and we do everything in our power to look after and nurture our team by providing opportunities for them to learn and grow in their career.
We value your contribution to our team and will:
Provide you with 1:1 training, learning programs and mentoring to help you succeed in your role
Keep your skills current with continuous professional development including industry updates and knowledge
Help build a strong foundation, as well as encouraging you to develop and apply your talents to outperform industry peers, accelerating your career progression
About You
As our newest team member we're looking for:
Previous experience in a similar role
Tertiary qualification in Accounting, Banking, Finance or a business-related discipline
Full or partial CA/CPA/CFA qualification will be highly regarded
Knowledge of the managed funds industry and operational experience relating to managed investment schemes
Knowledge of financial products and securities
Demonstrated experience in unit pricing, review of distribution calculations and preparation of financial statements
Intermediate Excel skills with the ability to manage spreadsheets and use formulas
Enthusiasm and passion for learning
High degree of professionalism and ethical standards
Strong written and verbal communication skills
#J-*****-Ljbffr
📌 Assistant Fund Accountant (New South Wales)
🏢 Titan Capital
📍 New South Wales