The Company Our client is a well-established Australian alternative asset manager specialising in real estate credit and property-backed funds.
Operating across major, diverse property sectors nationwide, they are an agile and highly reliable non-bank lender actively funding high-profile developments.
Backed by deep market expertise and institutional capital partners, their business model combines speed, financial rigour, and disciplined risk management.
This unique foundation is driving exceptional growth and operational efficiency - not only for the firm, but for its highly team-oriented, energetic, and high-performing finance team.
The Role Sitting at the core of corporate finance and fund operations, this key position plays a pivotal role in supporting active deal deployment, risk monitoring, and operational scaling.
Reporting directly to the Finance Manager, key responsibilities include: SPV Trust Accounting
📌 Fund/Trust Accountant | Property-Backed Funds (Sydney)
🏢 Robert Half
📍 Sydney
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