Supporting financial operations, data analysis, and administrative coordination across a busy government environment.
The role suits someone with robust spreadsheet capability, budget forecasting experience, and confidence managing financial workflows in a fast-paced setting.
- Financial Processing — manage financial data sets, process claims, and support accurate reporting.
- Budget & Forecasting Support — assist with budget tracking, variance analysis, and forward forecasting using advanced spreadsheet skills.
- Accounts Receivable — monitor outstanding debt, support collection processes, and maintain clear audit trails.
- Audit & Compliance — prepare documentation, support internal/external audits, and ensure compliance with policy and financial frameworks.
- Stakeholder Coordination — liaise with internal teams, external partners, and community/business stakeholders.
- Risk & Reporting — identify risks, support mitigation strategies, and contribute to operational and financial reporting.
What you'll bring:
- Advanced Spreadsheet Skills — confident with Excel, financial modelling, and data interpretation. Analytical Capability — able to interpret financial and operational data to support decision-making. Strong Organisation — able to manage competing priorities and deadlines. Government Stakeholder Experience — comfortable working across diverse teams and sectors.