Job Description
Your key responsibilities will include;
- Assist in general ledger maintenance and reconciliation to supporting documents
- Support the Finance Manager in the preparation of management reports
- Assist with the preparation of monthly management accounts and supporting schedules and analysis within deadlines
- Assist with preparation of the weekly Profit and Loss forecast
- Providing support to other Departments in relation to accounts and costing enquires.
- Review and analysis of the Capex spend on a monthly basis.
- Provide assistance to the Finance Manager in the budget process and in updating monthly, half yearly and yearly forecasts
- Monthly reconciliation of balance sheet accounts and clearance of reconciling items.
- Undertake a detailed analysis of monthly operating results
If you are looking for a role offering a career development plan and one on one mentoring with the Finance Manager, please hit 'Apply' or call Savannah Cant on 07 3854 3806.