About Our Client Our client is a major commercial construction company with a national footprint. Job Description Bank and balance sheet reconciliations AASB119 Employee Leave & AASB16 Leases Overhead analysis, prepayments and accruals, including payroll related accruals Management reporting and updating schedules Maintain and manage bank guarantees and bonds Monthly BAS & IAS preparation for multiple entities, assist with FBT Quarterly completion of ABS surveys Prepare and manage Work Cover reconciliation Depreciation and margin analysis Intercompany balance transfers and trust ledger maintenance/reporting Audit assistance The Successful Applicant CA/CPA qualified Tertiary Accounting qualification or similar Availability at short notice Construction industry experience desirable Commercially astute Excellent communication skills and ability to take initiative What's on Offer Immediate start Awesome office - rooftop views and buzzing, accessible Richmond location! Diverse role Competitive remuneration #J-18808-Ljbffr