Financial & Project Accountant
Perigon Group · Sydney
Job description
About the role
The role supports a property development and investment group, reporting to the Finance Manager. It involves broad accounting tasks across corporate entities and financial analysis for development projects.
Key responsibilities
- Assist with month‑end and year‑end close processes, including journals, accruals, pre‑payments and reconciliations.
- Maintain the general ledger and manage property settlements across multiple entities.
- Perform bank and balance‑sheet reconciliations, investigating and resolving discrepancies.
- Support accounting and reporting of Work‑in‑Progress, project accruals and cost allocations.
- Prepare and lodge BAS, IAS and other regulatory returns.
- Provide financial reporting and analysis to project managers and the finance team.
- Ensure timely processing of accounts payable and accounts receivable transactions.
Required profile
- Qualified or part‑qualified CA/CPA with experience in property, development or construction.
- Experience in tax compliance is desirable but not essential.
- Candidates from chartered/public practice with relevant property or construction clients are welcome.
Required skills
- General ledger management and property settlement accounting.
- Bank and balance‑sheet reconciliation.
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Published 10 hours ago
Expires 1 month from now
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Perigon Group
Sydney