The successful candidate has the opportunity to ensure the stability and efficiency of the core transactional finance processes.
Client Details
Our client is a leading multinational tech business.
Description
Improve and stabilise AP & AR processes
Manage bank reconciliations and resolve transaction discrepancies
Administer customer card management processes
Set up current suppliers and maintain supplier records
Manage month-end and year-end processes
Support budgeting, forecasting and cash flow reporting across the business
Profile
CA/CPA qualified or actively working towards completion
Demonstrated experience improving or stabilising finance processes
Ability to hit the ground running in a fast paced environment
Proficient in Excel and ERP systems
Confident stakeholder communication skills
Immediately available
Job Offer
Salary between $*******k + super
Hybrid working arrangements (2 days in office)
Convenient Melbourne CBD Location
Be part of a high performing team
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