08 Oct
|
Set Up My Offshore
|
Brisbane
08 Oct
Set Up My Offshore
Brisbane
Job DescriptionBank ReconciliationsPerform reconciliation of all bank accounts across entities, including investigating and resolving any discrepanciesAccounts Receivable ManagementPrepare client invoices, monitor outstanding receivables, follow up on overdue balancesAccounts Payable ManagementRecord supplier invoices, manage payment schedules and settle payment bligations in accordance with agreed termsMidmonth and Monthend Close ProcessPerform midmonth and monthend closing procedures, including posting journal entries, reconciling accounts and preparing inter-entity reports, subject to review and approval by the Senior AccountantStatutory and Regulatory ComplianceAssist in the preparation of required tax filings and statutory reports in accordance with applicable regulations, including but not limited to: BIR ****C, ****C, ****, ****-E, ****E-Q, ****E, ****Q, ****RT, ****Q, ****,
and annual audited financial statementsRequirementsBachelor's degree in Accounting, Finance, or a related field2–3 of years of experience in accounting or finance roles, including exposure to full-cycle accountingProficiency in XERO, with XERO certification required Intermediate to advanced Microsoft Excel skills, including proficiency in formulasExperience in statutory compliance and tax filings, such as BIR requirements or equivalentStrong attention to detail and a high level of accuracy, with the ability to meet reporting deadlinesExcellent written and verbal communication skillsExceptional analytical skills, with the ability to interpret financial data and provide actionable insights to executive leadership
#J-*****-Ljbffr
📌 Accountant (Brisbane)
🏢 Set Up My Offshore
📍 Brisbane