- This position is responsible for timely transactional processing and the preparation of general ledger reconciliations.
- You will provide essential support for both operational and capital financial service functions within the Corporate Services department.
- You will serve as a qualified advisor, assisting managers and staff with financial reporting and procurement queries.
About the Role
- This position is responsible for timely transactional processing and the preparation of general ledger reconciliations.
- You will provide essential support for both operational and capital financial service functions within the Corporate Services department.
- You will serve as a professional advisor, assisting managers and staff with financial reporting and procurement queries.
Key Responsibilities
- Manage routine financial functions, including Accounts Payable, Sundry Accounts Receivable, and cash management.
- Execute month-end processes, including journal preparation, data analysis, and subsidiary system reconciliations.
- Support capital and operational monitoring through the preparation of Business Performance Reports and Annual Corporate Plans.
- Maintain the integrity of the finance system by managing ledgers, the chart of accounts, and validation rules.
- Ensure compliance with legislative requirements, including Fringe Benefits Tax and internal/external audit obligations.
Experience Required
- Several years of experience in an Accounting or Finance role with a proven track record in financial analysis.
- A tertiary degree in Business or Accounting; CPA or CA qualifications are highly preferred.
- Proficiency in using accounting software and advanced MS Excel skills for data management.
- Demonstrated ability to communicate complex financial information clearly and build cooperative relationships with stakeholders.
- Strong attention to detail and a thorough understanding of Australian Accounting Standards and regulatory compliance