Commercial Trust Accountant - CBD
Core
End-to-end ownership of trust accounting operations for a commercial property portfolio, ensuring accurate and compliant financial records.
Role type
Commercial Trust Accountant
Builds
Accurate trust accounting records, payment runs, and reconciliations for landlords and tenants
Domain
Commercial Real Estate
Deliverable
production ML models | product features | dashboards & analysis | research | client delivery | infrastructure | physical/clinical work
Required skills
Trust accounting, bank reconciliations, creditor payment processing, lease management, system setup, offshore coordination, contractor record maintenance
Preferred skills
Commercial or residential property accounts experience, trust accounting software proficiency, numerical accuracy, time management, proactive problem solving
Technologies
Goat, EFTsure, online banking platforms
Responsibilities
Daily receipting and bank file uploads, Daily bank and trust account reconciliations, Preparing landlord previews and payment runs, Managing twice-weekly creditor payment runs, Setting up new properties and tenancies in the trust accounting system, Opening, maintaining and closing security deposit accounts, Uploading and reconciling property budgets, Updating lease renewals and tenancy information, Responding to trust accounting queries from the Asset Management team, Coordinating invoice processing with the offshore support team, Maintaining contractor records
Seniority
Mid-level, hands-on IC