Responsibilities:
- Record and maintain financial transactions: Post and process journal entries ensuring they align with proper accounting standards and guidelines.
- Reconcile accounts: Ensure bank credit card and other account balances match the companys financial records by performing regular reconciliations.
- Assist with monthly and year-end close: Help prepare financial statements and reports ensuring theyre completed on time and reflect the companys financial position accurately.
- Accounts payable and receivable: Manage invoicing and payments track overdue accounts and ensure all transactions are recorded correctly.
- Support audits: Assist in preparing financial documentation for audits and tax filings working closely with the finance team to ensure compliance.
- Support budgeting and forecasting: Assist in preparing the companys budgets forecasting and financial analysis to support decision-making.
Requirements:
- 4 years of experience in accounting with a solid understanding of general accounting principles.
- Detail-oriented and enjoy organising and reconciling financial data ensuring everything is accurate and up to date.
- Comfortable using accounting software (e.g. QuickBooks Xero) and Excel to manage financial records.
- Proactive organised and enjoy working in a dynamic environment where deadlines matter.
- Have a basic understanding of tax laws and financial reporting requirements.
- Have strong communication skills capable of working closely with team members and external parties like auditors and tax professionals.
Responsibilities:Record and maintain financial transactions: Post and process journal entries ensuring they align with proper accounting standards and guidelines.Reconcile accounts: Ensure bank credit card and other account balances match the companys financial records by performing regular reconcil...
Responsibilities:
- Record and maintain financial transactions: Post and process journal entries ensuring they align with proper accounting standards and guidelines.
- Reconcile accounts: Ensure bank credit card and other account balances match the companys financial records by performing regular reconciliations.
- Assist with monthly and year-end close: Help prepare financial statements and reports ensuring theyre completed on time and reflect the companys financial position accurately.
- Accounts payable and receivable: Manage invoicing and payments track overdue accounts and ensure all transactions are recorded correctly.
- Support audits: Assist in preparing financial documentation for audits and tax filings working closely with the finance team to ensure compliance.
- Support budgeting and forecasting: Assist in preparing the companys budgets forecasting and financial analysis to support decision-making.
Requirements:
- 4 years of experience in accounting with a solid understanding of general accounting principles.
- Detail-oriented and enjoy organising and reconciling financial data ensuring everything is accurate and up to date.
- Comfortable using accounting software (e.g. QuickBooks Xero) and Excel to manage financial records.
- Proactive organised and enjoy working in a dynamic environment where deadlines matter.
- Have a basic understanding of tax laws and financial reporting requirements.
- Have strong communication skills capable of working closely with team members and external parties like auditors and tax professionals.
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