As a key member of our financial team, you will be responsible for ensuring the accurate and timely processing and recording of accounting transactions. This includes data entry into our computerised financial management information system.
Main Responsibilities
* Financial Transaction Processing: Preparation, verification and data entry of financial data into computerised financial management information systems.
* Financial Data Reconciliation: Reconciliation of financial data and maintenance of associated accounting records, including the filing of source documentation.
* Banking Services: Prepare and undertake banking tasks.
* Customer Enquiries: Respond to debtor and creditor enquiries and assist departmental staff with accounting issues.
* General Financial Support: Provide general assistance within the financial management services section and undertake other financial duties, as required.
Requirements and Qualifications
* Certificate 3 or Equivalent Qualifications: Knowledge and expertise consistent with qualifications recognised at Certificate 3 or equivalent level.
* Safety and Wellbeing: Ability to work in a child-safe environment and promote the safety and wellbeing of children and young people.
* Inclusive Workplace: Capacity to work in an inclusive workplace that better reflects our community, welcoming applicants from diverse backgrounds, cultures and abilities.