The responsibilities of the role will include:-
- Bank reconciliations
- Cash management and dealing with cashflow
- Maintain Fixed asset ledger
- Accrual and journal preparation
- Balance sheet reconciliations
- General ledger maintenance
- Month-end preparation
- Overseeing finance queries
- Assisting with any other finance duties as required
Candidates on working holiday visas are encouraged to apply.
If you are interested in this opportunity, please 'Apply'.