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As the Company Accountant, you will take on a hybrid position of financial and management accounting. You will report to the Finance Manager and will be required to communicate the financial position to the management team. The position is primarily responsible for the accuracy and completeness of the balance sheet and P&L statement. This encompasses all Balance Sheet reconciliations, monthly management accounts, tax returns and statutory reporting.
Job Responsibility:
Maintaining Balance Sheet and P&L, including all reconciliations and ensuring compliance with accounting standards
Managing the end-to-end month-end process, including preparing journals, accruals, and ensuring sub-ledger integrity
Delivering daily and monthly sales analysis, FBT reporting, GST reporting, and statutory returns for government agencies
Providing financial planning analysis, including project support, budget activity, and trade spend analysis
Identifying and implementing efficiencies within the commercial finance team to enhance framework support and analytical capability