Job Description
About the Role
You will play a critical operational and strategic role as the company enters its next phase of growth, reporting directly to the Managing Director.
* Ensure professional financial and accounting processes and systems are consistently maintained.
* Manage payment systems and procedures, daily bank reconciliation, cash flow, accounts payable and receivable, payroll, and related activities.
* Provide high-quality, timely reporting that enables business operations.
* Oversee technology to equip the team with necessary tools and software to deliver on their KPIs.
* Manage risk, compliance, tax, legal, and insurance in a proactive manner.
Key Responsibilities
* Payment Systems and Procedures
* Daily Bank Reconciliation and Cash Flow
* Accounts Payable and Receivable
* Payroll and Related Activities
* Reporting of Business Performance
Requirements
* Tertiary Qualification in Business or Accounting
* 5+ years' experience in corporate accounting or finance
* Advanced Xero and Microsoft skills
* Demonstrated commercial acumen
* Excellent communication and interpersonal skills
* Positive work ethic and attitude
* Understanding of IT systems and cloud infrastructure
What We Offer
A highly collaborative office environment, flexible working hours, continued professional development, and further study support.