Job Description
Fantastic opportunity for a Assistant Financial Accountant to join a large, global group.
Bullet Points
- Heavy Bank Reconciliation/Treasury Focus
- Broad Exposure to Financial Accounting
- Circa $Very Attractive Salary + Benefits
Full Job Description
This large, expanding, diversified group is looking for an ambitious Assistant Financial Accountant.
Your core responsibilities will include, however may not be limited to;
- Month-end duties, including posting journals and general ledger reconciliation;
- Assisting with month-end group consolidation and management reporting;
- Assisting with quarterly reporting and statutory financial statements
- Daily bank reconciliation
- Reconciliation on cash deposit clearing accounts and preparing revenue entries;
- Banking administrative tasks - deposit, guarantee admin and third-party payments;
- Review invoice coding and supplier payment runs
- Maintain the general ledger on a monthly basis, including analysing results
- Quarterly ABS surveys;
- Adhoc and project work as required
This role suits a part-qualified CA/CPA who has a strong background in bank reconciliations/treasury and month end accounting. You'll have experience from a large, corporate environment and solid excel and ERP skills.
To be considered for this position please send your most recent CV to or email Lorraine at lorraine.duncan@perigongroup.com.au
Please contact Lorraine Duncan at Perigon for more information on this position 02 97755930