Job Description
This company is a growing, well-known and recognisable hospitality group based in Sydney. They oversee various restaurant groups throughout Australia. This is a newly created role due to recent growth and will be reporting into the Finance Manager. The role is ideally searching for an up and comer who is part qualified CA / CPA, open to getting their hands dirty and assisting with AP, and can get involved in month end responsibilities.
The Role:
- Bank and supplier account reconciliations
- Sales reconciliations
- Balance sheet reconciliations
- Month end accruals and entries
- Credit card reconciliations
- Generating payments to suppliers and Accounts PAyable responsibilities
- Ad hoc reporting and projects
- Part qualified CA / CPA
- Previous exposure to month end responsibilities
- 2+ years experience in a similar role
- Excellent communication and presentation skills