The responsibilities of the role will include:-
- Bank reconciliations
- Cash management and dealing with cashflow
- Maintain Fixed asset ledger
- Monthly reporting
- Sales reporting
- Accrual and journal preparation
- Balance sheet reconciliations
- General ledger maintenance
- Month-end preparation
- Overseeing finance queries
- Assisting with any other finance duties as required
You will have demonstrated strong attention to detail, excellent verbal and written communication skills and an intermediate to advanced level of Ms Excel.
If you are interested in this opportunity, please 'Apply' or contact Josephine Sanders on 02 9775 5915.