
Accounting Assistant
3 weeks ago
- Bank reconciliations across multiple entities.
- Clearing account (weekly) reconciliations – all entities.
- Monthly Direct Debit Reconciliations, Investigations.
- Monthly Business Activity Statement (BAS) preparation.
- Journal processing.
- Weekly, monthly and fortnightly payroll journals uploading.
- Liaise with Finance Operations stakeholders to help resolve queries, discrepancies.
- Support internal & external audit processes, as required.
- Participate in business & system improvement initiatives, automation.
- Previous (2-3 years) experience in Accounting or bookkeeping roles.
- Bachelor's degree in Accounting, Finance, or a related discipline.
- Experience supporting AU/US/EMEA/APAC market.
- Bookkeeping or partial CPA/CA qualification preferred.
- Proficiency in MS Excel, and other MS tools.
- Ideally familiar with NetSuite, or similar accounting software.
- Associate
- Full-time
- Accounting/Auditing
- Financial Services, Banking, and IT Services and IT Consulting
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