Property Accounting Manager
Manager – Property Accounting (AUS Calendar - AUS Shift)
Role Summary
H Connect International (A Hirdaramani Group Venture) is a leading global Business Process Management (BPM) and outsourcing company. We provide professionals with opportunities to work in diverse, international environments and develop future-ready skills within an inclusive and collaborative culture.
Key Responsibilities
- Prepare monthly financial reports for a portfolio of properties, including prepayments, accruals, and general journals.
- Review financials with the property management team prior to client delivery.
- Provide general accounting and management support to meet property owner and internal requirements.
- Process and manage General Ledger journals, Owner Paid/Sinking Fund transfers, and Promotion fund Journal sweeps.
- Run monthly end-of-month queries and distribute to Property Managers/Clients.
- Liaise with Property Managers to ensure fees are reviewed, issued, and collected per management agreements.
- Oversee daily creditor payment runs to ensure compliance with policies and procedures.
- Maintain clear stakeholder communication and ensure adherence to standards.
- Assist with monthly financial reporting and ensure audits are finalized per Retail and Commercial Tenancy Acts.
- Assist in updating B&F budgets to MRI General Ledger and tenant recoverable charges.
Requirements
- Bachelor’s degree in Finance, Accounting, or part-qualified in CA/CIMA/ACCA/CMA.
- Minimum of 4 years of experience in Finance and Accounting.
- Knowledge of financial principles and accounting concepts.
- Proficiency in Microsoft Excel and other financial software applications.
- Ability to work independently with minimal supervision.
- Focus on delivering high-quality work within established deadlines.
- Ability to thrive in a fast-paced, dynamic environment and adapt to changing priorities.
- Strong collaboration and interpersonal skills with the ability to work in cross-functional teams.