Our Client: Our client is a high-growth, private equity–backed property group with exciting pipeline. They are seeking a Finance Systems & Reconciliations Accountant to support the finance systems and deliver critical reconciliations. This is a hands-on role where you’ll help strengthen processes, ensure data integrity, and drive system improvements for a high-performing finance team. Key Responsibilities: Administer and support finance and project systems (ERP or equivalent). Maintain chart of accounts, project structures, and approval workflows. Perform reconciliations between project systems and the general ledger. Identify discrepancies and improve processes to reduce manual work. Embed controls to ensure audit readiness and investor confidence. Troubleshoot system issues, liaising with IT and external vendors. Document processes, update manuals, and provide user training. About You: 3-5 years’ accounting experience with strong reconciliations background. Hands-on experience with ERP or finance/project systems. Confident communicator able to support non-technical users. Experience in property or construction highly regarded but not essential If you are interested, please contact Yang Chen at yang.chen@perigongroup.com.au or apply using the "Apply" button.