Excellent salary package and great value-add opportunitiesHybrid working in an established FMCGAbout Our ClientMy client is part of a global group and is headquartered out of Narre Warren. Supplying fruits for domestic and international markets using advanced and sustainable techniques. They also offer cold storage and logistics services, solidifying their leadership in Australia's industry.Job DescriptionYour responsibilities will include but are not limited to:Assist in ensuring adherence to applicable AASB standards.Management and review of monthly and annual statutory returns (BAS return, FBT returns, Levies, etc).Management and review of monthly and annual tax compliance.Maintenance of cashflow forecasts, including any reforecast of Capex and other significant items, in collaboration with the finance transaction team.In collaboration with the payroll team and financial accountant, ensure completeness and timely payments of PAYG liabilities across all entities (MF, MFP, and PV).In collaboration with the finance transaction team and broader finance team, document process and controls over key finance transaction streams (AR, AP).Determine and record required consolidation and elimination entries as part of monthly close entries.Determine and record required entries relating to inter-entity balances.Maintenance of AASB16 ledgers across multiple entities.Review and ensure completion of associated B/S reconciliations.Preparation of consolidated statements monthly as part of the month-end process and annual planning/forecasting.The Successful ApplicantTo be successful in this role you must have:Degree in Accounting or FinanceCA / CPA QualifiedExperience in Big 4 / Mid-Tier environmentsExperience in a complex FMCG, Manufacturing, or Agriculture environment is desirableExperience with larger ERP's including Business Central or Microsoft Dynamics is highly favourableStrong attention to detail skillsProven capability to work in a team environmentWhat's on OfferHybrid working arrangementsNew corporate offices
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