This is a great opportunity to join a large, complex organisation in a broad accounting role covering month-end, reconciliations, compliance and financial reporting. The role will support the Finance Manager across multiple legal entities and work closely with stakeholders across the wider business.
Your responsibilities will include:
- Bank and balance sheet reconciliations
- Month-end support, including accruals and prepayments
- Cash flow reporting and bank account-related activities
- BAS and FBT preparation/support
- Government funding acquittals and clearing accounts
- Supporting statutory reporting and audit requirements
- Assisting with financial controls and process improvements
You will ideally have:
- Previous experience in a similar role
- Experience within a large, multi-entity organisation
- Microsoft Dynamics 365 experience highly regarded
- Exposure to month-end, reconciliations and financial reporting
- A relevant Finance/Accounting degree
Sound like the role for you? Click APPLY NOW and submit your application.



