Question
FULL_TIME
2-5

Accountant

12/9/2025

The Accountant is responsible for the preparation of monthly and year-end financial accounting, management accounting, and tax compliance for Stabilised and Development Funds. They will also support the Manager with ad-hoc requirements for the efficient running of the funds finance function.

Working Hours

40 hours/week

Company Size

1,001-5,000 employees

Language

English

Visa Sponsorship

No

About The Company
ESR is a leading Asia-Pacific real asset owner and manager focused on logistics real estate, data centres, and energy infrastructure that power the digital economy and supply chain for investors, customers, and communities. Through our fully integrated real asset fund management and development platform, we strive to create value and growth opportunities for our global portfolio of investors. We offer our customers modern space solutions to realise their ambitions across Australia and New Zealand, Japan, South Korea, Greater China, Southeast Asia, and India, including a presence in Europe.
About the Role

The Accountant is responsible for preparation of monthly/year-end financial accounting, management accounting and tax compliance for Stabilised and Development Funds. The Accountant will also support the Manager in any ad-hoc requirements for the efficient running of the funds finance function.

Key Responsibilities:

•        Month-end reporting

o   Prepare monthly management reporting for the Stabilised and Development Funds and related entities

o   Generate financial statements, including budget analysis, investment properties summary, aging reports and etc

 

•        Monthly Tasks

o   Review fund level P&L and provide variance commentary

o   IFRS, AASB16, loan drawdown and other trust level journals (where relevant)

o   Reconcile Balance Sheet items, including prepayments, accruals and etc

o   Work closely with Business stakeholders to ensure accurate financial results are prepared

 

•        Daily Tasks

o   Bank reconciliation [working with outsource provider who will be performing the bank reconciliation process]

o   Payment checks against bank, Yardi and invoices

o   Vendor verification as required

 

•        Tax Compliance

o   Preparation of monthly/quarterly BAS report

o   Preparation of annual income tax returns and any associated calculations as required

o   Preparation of distribution tax calculations as required

 

•        Process Improvement

o   Pro-actively seek and implement process and system improvements

o   Assist with team projects as required and takes responsibility and ownership for deliverables including projects/process improvements

 

•        Ad-Hoc Tasks

o   Facilitate internal/external auditors on query resolutions and assist with year-end statutory

accounts preparation

o   Ensuring compliance with Internal Accounting Policies and Procedures in day-to-day activities.

o   Prepare instructions and facilitate execution of legal documentation as required

o   Prepare quarterly/half-yearly loan covenant calculations as required and liaising with Treasury

and Funds Team to ensure accuracy and timely submission

o   Assist with ad-hoc portfolio management tasks as required related to actual financial data

o   Provide assistance to other team members during busy workload periods and other ad hoc

tasks when required

Qualifications:

•        Bachelor’s degree

•        Chartered Accountant/CPA qualified or close to qualification

 

Essential requirements:

•        Intermediate or above proficiency in Microsoft Excel

•        Ability to complete tasks while meeting tight deadlines

•        Attention to detail and strong record-keeping skills

•        Professional, results driven, strong work ethic with high integrity

•        Strong communication skills with demonstrated verbal, written and presentation skills

 

Desirable requirements:

•        Experience of Yardi Voyager

•        Big 4 / Chartered experience

•        Property industry experience

Key Skills
Financial AccountingManagement AccountingTax ComplianceMonth-End ReportingVariance CommentaryIFRSAASB16Bank ReconciliationVendor VerificationProcess ImprovementCommunication SkillsAttention to DetailMicrosoft ExcelTeam CollaborationStatutory Accounts PreparationLoan Covenant Calculations
Categories
Finance & Accounting
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