Are you a technically strong accountant with a passion for property, funds management, and complex structures? We’re partnering with a leading landlord and property investment group in Perth to recruit a Fund & Corporate Accountant . This is an exceptional opportunity to join a high-performing finance team supporting a diverse portfolio of assets and investment vehicles. The Role Reporting to the Financial Controller, the Fund & Corporate Accountant will be responsible for the full spectrum of financial, tax, and statutory reporting across holding companies, trusts, and special purpose vehicles (SPVs). You’ll play a key role in delivering accurate financial information to investors, boards, and senior management while ensuring strong governance and compliance across the group. Key Responsibilities Fund & Corporate Reporting Prepare monthly, quarterly, and annual financial statements for group entities in accordance with AASB. Consolidate financial results at fund and group levels, including joint venture reporting. Produce investor and board reporting packs, including NAV calculations and performance commentary. Maintain the integrity of the chart of accounts and accounting framework across multiple entities. Oversee monthly corporate recharge processes. Statutory Compliance Coordinate year-end reporting and manage external audit processes. Ensure timely ASIC, ATO, and other regulatory lodgements. Uphold robust internal controls and support governance frameworks. Tax & Treasury Support tax compliance including income tax, BAS, GST groupings, and FBT with external advisors. Monitor intercompany loans, distributions, and dividends to ensure compliance with Australian tax law. Assist with cash flow forecasting, fund-level reporting, and treasury management. Transaction Support & Structuring Contribute to transactions such as asset acquisitions, disposals, refinancing, and restructures. Work closely with legal, tax, and commercial teams on entity setups, wind-ups, and ownership changes. Maintain a strong understanding of property fund structures, including MITs and REITs. Business Partnering & Analysis Collaborate with Asset Management, Development, and Property Accounting teams to provide insights and analysis. Support capital planning, scenario modelling, and ad hoc financial reporting for senior management and investors. About You Degree-qualified in Accounting, Finance, or Commerce. CA/CPA qualified. Strong technical understanding of AASB and consolidation principles. Experience with property funds, trusts, or investment structures highly regarded. Excellent attention to detail and ability to manage multiple stakeholders. Strong Excel and ERP system skills; exposure to Yardi or MRI advantageous. Why Apply? Join a reputable and growing property investment business. Gain exposure to diverse fund structures and high-value transactions. Collaborative and supportive team culture. Competitive remuneration and genuine career development opportunities. How to Apply If you’re a proactive accounting professional seeking to expand your experience in property and funds management, we’d love to hear from you. If you would like to hear more, call Ryan Taylor or Jessica Platt on 0430 479 207 or send your CV to jess@castrecruitment.com.au Please note only shortlisted candidates will be contacted. To keep up to date with all our latest opportunities, head to our website www.castrecruitment.com.au or follow us on our Linkedin Page