About the role:
An exciting opportunity to work with a well established organisation located in the CBD is available! This financial accountants' position will be responsible for the preparation of monthly bank, balance sheet and other reconciliations as well as monthly revenue, commission and expense calculations.
The responsibilities:
Your responsibilities will include (but are not limited to);
- Preparation of monthly bank, balance sheet and other reconciliations.
- Monthly revenue, commission and expense calculation’s including the preparation of adjustment schedules for items such as accrued and prepaid expenses.
- The audit processes by ensuring compliance with company accounting policies and internal controls and timely preparation of financial & other documentation;
- The payroll function and related payments.
- Prepare financial returns including BAS.
- Take ownership of month-end activities, including preparation of financial information and transactions processing.
- Reconciliation of vender accounts and any other procurement related reconciliations.
- Assist with analysis and processing of month end journals.
- Take ownership of Fixed Assets accounting and tax books and transactions.
Ideally, you will be a fully CA/CPA Qualified accounting professional or studying towards, and will possess excellent communication and interpersonal skills as your ability to interact and engage cross functionally within the business will be crucial to your success. Additionally, you will have strong Microsoft Excel skills, had experience working in a complex & high-volume environment and possess a positive "can-do" work ethic.
About the client:
Our client is a well established organisation working for a highly recognisable organisation within FMCG.
How to apply:
To apply online, please click on the appropriate link below. Alternatively, for a confidential discussion, please contact Laura Ruddlesden on 0488 756 943 or on lruddlesden@sharpandcarter.com.au.