Fund Accountant: NAVs, Month-End & Investment Reporting (Australia)

Fund Accountant: NAVs, Month-End & Investment Reporting (Australia)

02 Oct
|
Perigon Group
|
Australia

02 Oct

Perigon Group

Australia

Perigon Group is seeking a Fund Accountant to join their team on a 6-12 month contract in Australia. The role involves managing month-end close for fund entities, preparing NAVs and unit pricing, and supporting audits and tax compliance.

The ideal candidate will have CA or CPA qualifications and 3-5 years' experience in hospitality, real estate or private equity fund management, with robust communication skills.

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📌 Fund Accountant: NAVs, Month-End & Investment Reporting (Australia)
🏢 Perigon Group
📍 Australia

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