Our client is a high profile reputable organisation. You will be working with a professional finance team and have the full support of a hands-on experienced Financial Controller. They offer a lovely working environment and parking is provided.The role includes:Preparation and forecasting of daily cash flows and assist in making payment.Preparation of Ad hoc reports.Participating in budgeting and forecasting.Preparation of bank reconciliations.Ensure journals are processed in a timely manner.Preparation of monthly general ledger reconciliations.Maintain fixed asset register.Maintain prepayments and accruals schedules.Preparation of BAS and assist in the annual FBT Return.Requirements for the role:Relevant tertiary qualification.1-2 years of relevant accounting experience.Intermediate to advanced Excel skills.To Apply:To apply for this position, please click the apply button and submit your resume for us to review.
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