Job Description
Responsibilities
- Manage and maintain trust account records in Cirrus8, ensuring accuracy and compliance
- Process trust receipts, disbursements, invoicing, and billing within Cirrus8
- Perform daily, monthly, and end-of-period reconciliations as required
- Monitor trust balances and ensure correct allocation of funds to tenants and owners
- Support automated financial workflows (PMA) related to rent, outgoings, and recurring charges
- Generate trust accounting, financial, and compliance reports from Cirrus8
- Maintain audit-ready records in line with Australian trust accounting standards
- Assist with lease-related financial entries and adjustments
- Coordinate with property managers to resolve trust discrepancies or exceptions
- Maintain high data accuracy and strict adherence to compliance requirements
Job Requirements
- Hands-on experience using Cirrus8, partic...
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