Job Description
Reporting to the Finance Manager your primary responsibilities will be
- Bank and General Ledger Reconciliations
- Accrual accounting as required on monthly, quarterly or annual basis
- Monthly balance sheet reconciliations.
- Preparation of monthly, quarterly and annual reporting packages
- Ensuring all tax obligations are met in appropriate timeframe for parent company, its subsidiaries and funds
For more information please contact Sarah Kennedy sarah.kennedy@perigongroup.com.au or call 07 3854 3800 or apply below.