Job Description
Reporting into the Financial Controller and working closely with the Group and Fund Accountant, you will be responsible for the following duties:
- Month end reporting
- Inter-company recharges and reconciliations
- Assist with group consolidated reporting
- Bank and Balance Sheet reconciliations
- Assistance with BAS preparation and lodgement
- Accounts Payable and Receivable
- Assist with payroll
For more info call Tiffany on 07 3854 3802 or apply below
tiffany.way@perigongroup.com.au