Managing income statement and balance sheet accounts and related processes such as revenue, operating expenses, fixed assets, prepayments, accruals and intercompany
Reconciling and maintaining fixed asset register
Processing month-end journals and assisting with month-end close and reporting
Assist in preparing and reviewing BAS, FBT, VAT and US sales tax for different regions
Working with external auditors and tax advisors
Identifying opportunities for process improvement, standardisation and/or automation
Ad-hoc involvement in wider finance team projects
What do I need?
Relevant tertiary qualification in accounting, commerce or finance
Ideal role for first mover or 1-2 years’ work experience in a commercial business
CA/CPA qualified or close to qualification
Attention to detail with an ability to multitask and prioritise...
Ready to Apply?
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