To provide clients with complete, tailored accounting solutions and support clients with business structure, business growth and protection of assets. The key responsibilities include:
Financial:
- Prepare and balance cashbook
- Prepare and balance General Ledgers and Journals
- Sourcing documentation – including via client software and sourcing supporting documentation
- Reconcile Balance Sheets & Profits & Loss
- Prepare Trial Balance and updated Financial Statements
Taxation:
- Under supervision, prepare Tax Returns (for individuals, trusts, companies and partnerships)
Administrative Compliance:
- Prepare BAS and IAS
- Monitoring ATO Tax Lodgement and compliance
- Arranging payment arrangements
- Assessment of quarterly PAYG Tax instalments for client entities and making variations as required
- Adherence to Client Budgets
Qualifications
- Proficient in MS Office (Word, Outlook, and Excel).
- Comfortable with technology
- Proficient in Accounting software(s) used by the company