- Carry out the functions of Accountant, and oversee the routine GL management and day to day tasks that fall within this role
- Support the Financial Controller and Directors to carry their own management duties with regard to financial analysis, forecasting, cashflow management, budgeting and processing of payments, and/or EFT’s
- Prepare accurate reconciled monthly Accounts, including Balance Sheet, Profit and Loss statement, and cash-flow statement, augmented by the necessary notes and appendages, in sufficient detail for independent auditors to verify and to present to relevant stakeholders and in a format that is consistent with previous years and readily allows past year comparisons.
- Advise on the company’s financial position including income and expenditure and other matters concerning the company such as operations, company structure and any future financial plans
To apply online, please click on the appropriate link below. Alternatively, for a confidential discussion, please contact Danielle Bower on 0473 489 543 or at firstname.lastname@example.org