About You Cromwell Property Group is seeking a Property & Fund Accountant to join our Finance team. As a member of the Finance team, you will be recognised for your unique skills, diverse ideas and abilities. We thrive on collaboration and diversity, and value the fresh perspectives you will bring to the table. Even if you don’t feel the below criteria matches your skillset, please still apply, we want to hear your story. Our ideal candidate will be an experienced accountant, with exceptional attention to detail, preferably from a commercial background with CA or CPA qualification (or working towards). Any experience within a property, funds management or ASX200 organisation will be highly regarded. About the Role This role is a temporary assignment for a 12-month period. Reporting to the Finance Manager – Property & Funds, the Property & Fund Accountant will provide excellent financial accounting services and support related to Cromwell’s ongoing property and fund management to ensure all financial obligations are met. This is a diverse role that gives you the opportunity to work with a range of teams throughout the business to get an in-depth understanding of your portfolio and provide your expert guidance to our people. You’ll utilise your skillset to identify business processes that require improvement and work collaboratively with stakeholders to implement system and process improvements. Key responsibilities include: Review building Net Operating Income, in conjunction with property team to identify and post required accruals and prepayments to create required month end information for property and analyst teams. Preparation of monthly lease incentive and lease cost schedules in order to appropriately capitalise and amortise balances in accordance with relevant accounting standards. Preparation of monthly financial accounts for property trusts and related financing entities for inclusion within the monthly group consolidation, board reporting and other external reporting. Review and creation of payments including but not limited to, distributions, all group debt/derivative obligations, foreign currency, tenant refunds and tax obligation payments. Preparation of the half year and annual statutory reporting requirements for the Retail Property Funds. Engage with asset and facility managers to understand building portfolio and assist with finance related enquires in order to ensure accuracy of financial information. Identify areas of business improvement and work collaboratively with relevant stakeholders to transform business systems and processes to increase overall accuracy and efficiency of finance activities. What we bring Enjoy flexible hybrid working arrangements Take advantage of our inclusive leave policy, including career breaks, birthday leave, public holiday swaps and grandparents leave Access a $299 Employee Health and Wellbeing benefit Receive rewards through our Employee Referral Bonus program Access a wide variety of courses on LinkedIn Learning and receive financial support for training programs Grow your career with ongoing development and networking opportunities for all employees About Us Our vision is to be a capital light investment manager, recognised for our transparency, authenticity and creativity. To achieve this vision, we need people with the skills, ingenuity, creativity and desire to succeed. Our multidisciplinary team is made up of people from diverse backgrounds with unique experiences and perspectives. We’re committed to fostering an inclusive, equitable and respectful culture that allows our people to be their true and authentic selves. We believe this critical to the success as of our business. We’d love to have you as part of our team, and we’re excited to see what you could bring to this role. Unsolicited agency resumes will not be accepted for this position and Cromwell will not honour any fees related to resumes that are submitted directly to hiring managers and not through our approved process.