Related skills
excel ifrs month-end close oracle netsuite balance sheet reconciliations๐ Description
- Month-end close: journals, balance sheet reconciliations and variances
- Manage fixed assets, leave provisions, and leasing policies
- Maintain sales invoice registers and reconciliations
- Assist statutory submissions: ASX reporting, financial statements, liaise with auditors
- Support process improvements and automation to boost accuracy and timeliness
๐ฏ Requirements
- CA or CPA part-qualified or completed
- 2+ years in professional services or fast-growth SME
- AASB/IFRS technical accounting knowledge
- Month-end experience with journals and reconciliations
- Excel essential; Oracle NetSuite ideal
- Highly collaborative with ownership of results
๐ Benefits
- Hybrid working with flexibility
- Airtime: focus time Fridays
- Recharge days: quarterly extra leave
- Wellbeing support and Employee Assistance Program
- Airpowerment Fund: $200 wellbeing allowance
- Airtasker credits and fair pay
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