09 Oct
|
Set Up My Offshore
|
Brisbane City
09 Oct
Set Up My Offshore
Brisbane City
Job Description
Bank Reconciliations
- Perform reconciliation of all bank accounts across entities, including investigating and resolving any discrepancies
Accounts Receivable Management
- Prepare client invoices, monitor outstanding receivables, follow up on overdue balances
Accounts Payable Management
- Record supplier invoices, manage payment schedules and settle payment bligations in accordance with agreed terms
Midmonth and Monthend Close Process
- Perform midmonth and monthend closing procedures, including posting journal entries, reconciling accounts and preparing inter-entity reports, subject to review and approval by the Senior Accountant
Statutory and Regulatory Compliance
- Assist in the preparation of required tax filings and statutory reports in accordance with applicable regulations, including but not limited to: BIR 1601C, 1604C, 2316, 0619-E, 1601E-Q, 1604E, 1702Q, 1702RT, 2551Q, 2307,
and annual audited financial statements
Requirements
- Bachelor’s degree in Accounting, Finance, or a related field
- 2–3 of years of experience in accounting or finance roles, including exposure to full-cycle accounting
- Proficiency in XERO, with XERO certification required Intermediate to advanced Microsoft Excel skills, including proficiency in formulas
- Experience in statutory compliance and tax filings, such as BIR requirements or equivalent
- Robust attention to detail and a high level of accuracy, with the ability to meet reporting deadlines
- Excellent written and verbal communication skills
- Exceptional analytical skills, with the ability to interpret financial data and provide actionable insights to executive leadership
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📌 Accountant (Brisbane City)
🏢 Set Up My Offshore
📍 Brisbane City