Key Responsibilities
- Month-end processes, journal entries, and general ledger maintenance
- Balance sheet reconciliations and supporting schedules
- Managing operating and project-related costs, including accruals, prepayments, and project capitalisation
- Cashbooks, bank reconciliations, and cashflow analysis
- Supporting banking administration and regulatory reporting (e.g., BAS, APRA returns)
- Analysing transactions and liaising with auditors as needed
- Contributing to process improvements and documentation
- 2+ years accounting experience, ideally in financial services or insurance.
- Progressing toward a professional accounting qualification
- Strong Excel, analytical, and financial management skills
- Attention to detail, ability to prioritise, and effective communication
- Collaborative, skilled finance team
- Opportunities for process improvement and professional development
- Flexible working arrangements, 3+ days Work From Home
To apply online, please click on the appropriate link below. Alternatively, for a confidential discussion, please contact Connor Hungerford.
