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This position is responsible for timely transactional processing and the preparation of general ledger reconciliations. You will provide essential support for both operational and capital financial service functions within the Corporate Services department. You will serve as a professional advisor, assisting managers and staff with financial reporting and procurement queries.
Job Responsibility:
Manage routine financial functions, including Accounts Payable, Sundry Accounts Receivable, and cash management
Execute month-end processes, including journal preparation, data analysis, and subsidiary system reconciliations
Support capital and operational monitoring through the preparation of Business Performance Reports and Annual Corporate Plans
Maintain the integrity of the finance system by managing ledgers, the chart of accounts, and validation rules
Ensure compliance with legislative requirements, including Fringe Benefits Tax and internal/external audit obligations
Requirements:
Several years of experience in an Accounting or Finance role with a proven track record in financial analysis
A tertiary degree in Business or Accounting
CPA or CA qualifications are highly preferred
Proficiency in using accounting software and advanced MS Excel skills for data management
Demonstrated ability to communicate complex financial information clearly and build cooperative relationships with stakeholders
Strong attention to detail and a thorough understanding of Australian Accounting Standards and regulatory compliance