06 Oct
|
Capstone Recruitment
|
Sydney
06 Oct
Capstone Recruitment
Sydney
Our client is an established property funds management business, growing a platform of unlisted and wholesale property trusts and investment structures.
With a lean, collaborative team and a genuine growth trajectory, this is a business where the finance function has real ownership and influence over outcomes.The RoleThis hands-on role owns financial, tax and management reporting across a portfolio of property funds, partnering closely with funds management, asset management, investor relations, lenders and auditors.Key ResponsibilitiesYour key responsibilities will include, but not be limited to:Oversight and review of monthly management accounts across a portfolio of property funds, in line with agreed reporting timetables.Manage the annual reporting process, including preparation of financial statements and board papers, and coordination of the external audit.Preparation of unit pricing and investor distribution calculations, and monthly and quarterly investor reporting.Preparation of distribution tax calculations and annual income tax returns.Cash flow forecasting, and monitoring of fund liquidity, treasury administration and debt covenant compliance.Review joint venture financial information and respond to reporting requests from investors, lenders and auditors.The CompanyOur client is an established property funds management business, growing a platform of unlisted and wholesale property trusts and investment structures.
With a lean, team-oriented team and a genuine growth trajectory,
this is a business where the finance function has real ownership and influence over outcomes.The RoleThis hands-on role owns financial, tax and management reporting across a portfolio of property funds, partnering closely with funds management, asset management, investor relations, lenders and auditors.Key ResponsibilitiesYour key responsibilities will include, but not be limited to:Oversight and review of monthly management accounts across a portfolio of property funds, in line with agreed reporting timetables.Manage the annual reporting process, including preparation of financial statements and board papers, and coordination of the external audit.Preparation of unit pricing and investor distribution calculations, and monthly and quarterly investor reporting.Preparation of distribution tax calculations and annual income tax returns.Cash flow forecasting, and monitoring of fund liquidity, treasury administration and debt covenant compliance.Review joint venture financial information and respond to reporting requests from investors, lenders and auditors.About YouCA or CPA qualifiedStrong technical accounting knowledge, with experience preparing fund financial statements, distribution tax calculations and income tax returns.Knowledge of complex legal entity structures, with a strong understanding of Australian tax and accounting standards.Advanced Excel & systems skillsAble to work independently with minimal supervision, and comfortable operating in a lean, hands-on team.Excellent communication and stakeholder management skills, with the ability to build relationships across asset management, investor relations and executive teams.Trent Cairns ************
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📌 Finance Manager, Real Estate Funds (Sydney)
🏢 Capstone Recruitment
📍 Sydney