Key responsibilities:
- Prepare and review daily unit pricing, fund accounting, and tax reports
- Ensure accuracy in all regulatory, APRA, and statutory reporting obligations
- Assist with tax services including BAS/GST, distributions, and taxable income calculations
- Manage client relationships and respond to queries in a timely, professional manner
- Collaborate with internal teams to ensure seamless service delivery
- Investigate and resolve pricing or reconciliation exceptions as needed
- 2+ years’ experience in fund accounting, unit pricing, and tax reporting
- Strong technical accounting knowledge and familiarity with investment products
- Ability to meet strict daily/monthly deadlines with excellent attention to detail
- Effective communicator with strong stakeholder engagement skills
- CA/CPA qualified or working towards it (preferred but not essential)
- Proficient in Excel (VLOOKUPs, pivot tables, reconciliations)

