Senior Accountant, Property Management
1 week ago
Mirvac is a brand that creates and curates better experiences.
We are more than developers or builders - we are visionaries, and our ability to see the world differently drives us to be bold, embrace innovation and diversity, and lead with optimism.
As creators of positive change, we see each new project as an opportunity to leave a lasting legacy, delivering enduring value for all Australians. We focus on sustainability, innovation, and shared value, to return benefits to our customers, partners, investors, and communities.
Join us as we work towards building the imagine nation.
Benefits of working at Mirvac
- State-of-the-art head office conveniently located near Circular Quay
- 93% of our employees said that 'they were proud to work for Mirvac'
- 6 month Fixed term contract
Our opportunity
As Senior Accountant, Property Management, you will manage the key management reporting functions of the Asset’s financials, and partner with key stakeholders to provide timely financial information and critical analysis to drive business decisions.
This includes assistance with monthly Actuals, Half Year and Year End reporting requirements as well as taking ownership for the integrity of the data.
Please note this is a 6-month fixed term contract
Your responsibilities will include
Business Partnering
- Work collaboratively with Asset Management Operations teams to enhance the end user experience, ensure ongoing engagement with and understanding of finance processes and timeliness, and elevate non‑adherence
- Provide guidance and support to the Asset Management Operations teams monthly, as well as working with the Commercial Finance Management team on monthly forecast and business planning process, ensuring the experience is efficient and value‑add
People
- Contribute to a high performing finance team to support the Asset Management Business.
- Work collaboratively within the Investment Portfolio teams and across Mirvac divisions, sharing learnings with colleagues and leveraging their experience
Business Unit Performance
- Ensure accurate & timely financial information and assistance is provided to Asset Management Operations teams to help achieve financial performance objectives and efficient outcomes for the business and customers
- Managing the month end process for NOI and Balance sheet for allocated property portfolio and work with the relevant stakeholders (onshore and offshore) to ensure accuracy of actuals and the flow through of information into the forecast;
- Monitor and support transactional deliverables and financial performance for a designated portfolio of assets
- Deliver management reporting in accordance with the Finance timetable, ensuring all key stakeholders clearly understand their accountabilities and timelines in the process
- Organising and facilitating a monthly portfolio review meeting for review of the 5 year forecast.
- Assist Property Managers with the preparation of reporting for Joint Owners for your property(s) in compliance with the Joint Ownership and Property Management Agreements as required;
- Assist the Finance Managers and Commercial Finance Managers to deliver the Actuals, Budgeting, Forecasting and Analysis of Corporate fee income and overheads as required
- Manage transition of new assets from developments to Asset Management Operations, as required, ensuring financial reports are set up correctly for MPT and the co‑owner.
Reporting & Analysis
- Review monthly property P&L & Balance Sheet ensuring accuracy and value‑add commentary for variances
- Deliver management reporting for designated portfolio in accordance with the Finance timetable, ensuring all key stakeholders clearly understand their accountabilities and timelines in the process
Financial Control
- Ensure robust and reliable controls are in place.
- Act as a contact point between the Offshore outsource team and the rest of the Integrated Investment Portfolio to help optimise the benefits from their provision of enterprise performance management activities
Your point of difference
You are a Senior Accountant CA / CPA / CFA qualified with experience in Property.
You will have:
- Experience as a respected business partner, and a demonstrable ability to partner with stakeholders and wider finance function
- Demonstrated experience and understanding of the preparation and ongoing management of actuals, budgets, forecasts, and variance reporting
- High level of IT proficiency i.e., Microsoft Office package - knowledge of Yardi, MRI, Cougar, and/or BI reporting is highly desirable
- Commercial/financial acumen and strong analytical skills are required
- High level communication (written and verbal) and stakeholder management skills
- Strong technical accounting skills
- Strong Excel capability
- A collaborative, professional and empathetic approach to dealing with team members and stakeholders
- Ability to work autonomously and manage time to meeting conflicting deadlines
Apply now
If you're a detail‑oriented finance professional looking to contribute to a high-performing team in the property and funds management sector, we'd love to hear from you.
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