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About the Role
This role calls for a seasoned professional who is comfortable owning high-stakes outcomes with a high degree of autonomy, serving as a steady and trusted point of escalation for internal and external stakeholders, and actively building the capability and confidence of those around them.
Responsibilities
- Partnering with Fund Managers as a commercial finance partner across distributions, fees, deals and new funds
- Owning the fund reporting timetable, balancing competing investor requirements and deadlines
- Leading the accounting treatment and financial close for transactions and restructures, including unit issuances and redemptions
- Owning the preparation and delivery of statutory financial statements and board papers across the fund portfolio
- Owning tax compliance across assigned funds, including quarterly taxable income statements, annual tax returns and monthly BAS workings
- Managing senior investor and auditor relationships and escalations on a no surprises basis
- Reviewing monthly financial reporting, including investor reporting, unit pricing, trial balance and consolidation entries
- Reviewing distribution and management fee calculations
- Designing and improving controls, lifting documentation standards and closing gaps
- Shaping how the team runs across systems, automation and resourcing, and driving continuous improvement
- Developing team members, building capability and supporting recruitment
Requirements
- CA or CPA qualified finance professional with a strong technical foundation and a track record of delivering in complex, high-volume environments.
- Deep experience leading the accounting for transactions and restructures, and confident proposing and resolving accounting treatments with auditors and senior stakeholders.
- Experience in property and/or funds management will be highly regarded.
- 8+ years of experience in professional services and/or an accounting related role
- Demonstrated track record of leading the accounting for transactions and restructures, including proposing treatments and resolving them with auditors
- Strong working knowledge of accounting standards and their practical application, particularly IFRS
- Experience with SAP, Anaplan and/or HFM is highly desirable
- Experience in property and/or funds management is valued
Skills
- Fund accounting
- Reporting
- Tax compliance
- Transaction accounting
- Restructure accounting
- IFRS
- SAP
- Anaplan
- HFM
Location
- Australia
Work Type
- Contract
- Full-time
Experience Level
- Senior
- 8+ years
Education Level
- CA or CPA qualified
Benefits
- Flexible working arrangements
- Generous leave options
- Market-leading parental leave benefits including 22 weeks paid leave for either carer
- Childcare allowance once you return to work
- Diverse and challenging career opportunities
- Dedicated Learning & Development Team
- Comprehensive Wellbeing programs
- Market-leading policies and support tailored to diverse needs
- Peer recognition awards
- Generous Employee Referral Program
About the Company
- We shape leading experiences across office, retail, logistics and student accommodation.
- We’re one of Australia’s largest property groups, managing $39.8 billion worth of assets across the country.
- Our sustainable returns from investments come from focusing on what matters most to customers — a great experience and doing good.
- Every day, our people are driving positive impact for people, place and planet.
- They’re inquisitive, pioneering industry firsts and pushing new ideas to deliver exceptional outcomes.
- This passion and expertise creates an employee experience that puts wellbeing, flexibility and opportunity first.
Equal Opportunity
- GPT offers an inclusive workplace culture and embraces people with diverse perspectives, skills and backgrounds.
- We welcome applications from First Nations candidates, members of the LGBTQIA+ community, people living with disability and people of diverse ages, cultures and backgrounds.