Responsibilities
Balance sheet reconciliations and journal entries for prepayments, accruals, deferred revenue and depreciation schedules
Assisting with month-end processes and reporting
Credit card and bank reconciliation preparation
Managing credit control function
Preparing BAS, GST and VAT returns
Working on internal and external financial-related queries
Assisting with global payroll
Liaison with external Auditors, overseas and in Australia
Assisting the CFO and Financial Controller with any ad hoc tasks and projects
Requirements
Bachelor of Commerce or equivalent accounting degree
Part CPA/CA qualified or looking to start
6 months to 2 years working experience ideal
Excellent technical accounting skills and intermediate Excel (V-lookups, pivot tables)
Hungry, creative, enthusiastic, and data-driven with a diverse skill set to thrive in an environment of fast growth and ambiguity
Experience with NetSuite ideal but not essential