Retail Property Accountant: Reporting, Budgets & Analysis

CBRE

Sydney

On-site

AUD 70,000 - 100,000

Full time

12 days ago
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Benefits offered by this job

Parental leave
Qantas discounts
Bupa healthcare
Free gym classes
Wellbeing programs
Volunteer days
Corporate discounts

Job summary

CBRE Sydney is seeking a Retail Property Management Accounting professional to own monthly reporting, budgeting and reconciliations for a diverse retail portfolio. You will collaborate with property finance specialists to deliver accurate P&L analysis and balance sheet reconciliations.

Ideal candidates have a degree in Accounting/Finance, and are pursuing CA/CPA or similar, with strong analytical and stakeholder communication skills.

Qualifications

  • Degree in Accounting, Finance or related discipline.
  • Working towards CA or CPA, or interested in commencing.
  • Retail or commercial property accounting experience is advantageous.
  • Strong analytical and communication skills.
  • Excellent organisational skills and attention to detail.
  • Customer-focused approach and stakeholder capability.

Responsibilities

  • Prepare accurate monthly management accounts and reporting.
  • Analyse property performance and provide variance commentary.
  • Prepare outgoings reconciliations, budgets and wash-ups.
  • Support annual budgeting and forecasting activities.
  • Manage percentage rent, extended trade and tenant calculations.
  • Complete balance sheet reconciliations, P&L analysis, budgets and forecasting.
  • Outgoings and direct recovery accruals including operating expenditure accruals, income accruals and analysis.
  • Managing relationships with key stakeholders both internally and externally.

Skills

Analytical skills
Communication skills

Education

Bachelor's degree in Accounting/Finance

Job description

CBRE Sydney is seeking a Retail Property Management Accounting professional to own monthly reporting, budgeting and reconciliations for a diverse retail portfolio. You will collaborate with property finance specialists to deliver accurate P&L analysis and balance sheet reconciliations.

Ideal candidates have a degree in Accounting/Finance, and are pursuing CA/CPA or similar, with strong analytical and stakeholder communication skills.

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