Employer Active
Entering purchases and bills
Managing Clients payroll: Weekly Fortnightly and Monthly
Processing of Super: Monthly/Quarterly
Preparation and lodgment of GST/BAS
Bank reconciliations
Quarterly review of books
Entering financial information into appropriate software programs
Verifying balances in account books and rectifying discrepancies
Encoding accounting entries for data processing
Sorting financial documents and posting them to the proper accounts
Reviewing computer reports for accuracy and meticulously tracing errors back to their source
Resolving errors in financial reports and correcting faulty reporting methods
Assisting in preparation of yearly Profit and Loss Balance Sheet
Ability to learn new accounting software and features.
Full Time