Job Details

Senior Finance Administrator

Category:

Accounting

Employment Type:

Full Time

Industry:

Accounts Clerk

Contact Name:

Contact Email:

Contact Phone:

Date Published:

09-Jul-2026

Job Description:

  • Permanent full-time opportunity | Highly acquisitive national business
  • Multi-entity reconciliation role with genuine variety and diversification
  • Flexible hours | Internal progression opportunities
  • About The Role

    The Finance Officer will join the finance administration team of a well-established national group with a large multi-entity footprint, based in their Melbourne CBD head office. This is a permanent full-time position reporting to the Finance Manager.

    The Finance Officer will be responsible for high-volume cash and bank reconciliations across multiple entities, weekly payment runs, and monthly balance sheet reconciliations, playing a key role in keeping the group's transactional finance function running accurately and on time.

    Role & Responsibilities
    • Complete bank account reconciliations across multiple bank accounts and entities, and prepare cash at bank, cash in transit and cash clearing journals on a weekly basis
    • Prepare weekly cash clearing reconciliations, investigating and resolving systemic variances and uncleared items in a timely manner
    • Input and load weekly pay runs into online banking portals and prepare daily payment runs for the Group
    • Prepare and investigate monthly balance sheet reconciliations across clearing, bank, and cash holding accounts
    • Prepare weekly cash variance reports and review monthly reconciliations collated from a large national site network
    • Collaborate with the accounts receivable team on debtor reconciliations across the Group
    • Review and input weekly petty cash receipts, and allocate and communicate receipts to the relevant teams in a timely manner
    • Assist with troubleshooting automated revenue data imports, support external audits, and contribute to ad hoc finance projects as directed
    Skills & Experience
    • 2+ years' experience in a similar cash settlement / financial reconciliation role within a high-transaction, multi-entity environment
    • Familiarity with POS systems and reconciliation processes, including preparing cash clearing reconciliations and resolving variances as they arise
    • Strong Microsoft Excel skills
    • Ability to adapt quickly to new accounting applications and systems
    • Strong communication and organisational skills with high attention to detail
    • Initiative, drive, and a positive, flexible approach to work
    • Willingness to support the broader head office finance team
    Next Steps

    If this opportunity sounds of interest, please feel free to reach out to Sam Liu at Perigon Group for a confidential discussion.

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