Reporting directly to the Financial Manager you will be responsible for the below:
- Completing bank and supplier account reconciliations
- Month end reconciliations
- Posting journals, accruals and prepayments
- Assisting with accounts payable and receivable when needed
- Running bank statements daily and reconcile accounts on a weekly basis
- Ad hoc reporting and transactional work when required
Matraville location - parking available (not easily accessible by public transport).