Job Description
The role
Reporting to the Financial Controller you will be responsible for the below duties:
- Prepare month-end financials and account reconciliations
- Maintain daily and weekly cash summary / reconciliation
- Prepare monthly disbursement calculations
- Prepare indirect tax statements / returns (GST, FBT, payroll tax)
- Assist with monthly management and board reporting
- Undertake ad hoc project work where required
- Update and maintain fixed assets register
- Build relationships and partner with key stakeholders within the organisation
- CA qualified (or nearly qualified)
- Big-4 or mid-tier audit or business services first mover
- Open to commercial candidates with a strong accounting background (CA qualified or part-qualified)
- Outstanding communicator with a passion for driving change in a scaling environment
For more information, contact Tara on tara.murray@perigongroup.com.au or to apply, hit the "apply" button.