Are you a detail-driven finance professional with exceptional accuracy and consistency?
This is an opportunity to step into a pivotal role within a high-performing finance team.
We're looking for a skilled financial professional who can bring precision, ownership, and solutions-focused mindset to our day-to-day finance operations.
This part-time role includes 3 days per week of on-the-job training and support to help you grow.
To be eligible, you must be located within commuting distance of Sydney and have full working rights in Australia.
You'll ensure the accurate and timely processing of daily, monthly, and ad-hoc finance tasks that help keep our business running smoothly.
Your responsibilities will include:
- Updating daily cash balance and credit card transaction files
- Recording daily bank transactions across multiple corporate accounts
- Processing deposits, online shop sales, and credit card transactions in the invoice system
- Managing accounts receivable balances and recording sales collections
- Processing intercompany bank transactions
- Updating weekly cashflow forecasts
Month-end tasks include:
- Preparing bank reconciliations for multiple corporate accounts
- Preparing credit card reconciliations
You'll know you're making a difference when:
- Daily transactions are recorded accurately and on time
- Month-end tasks are completed by the 4th working day
- Reconciliations are accurate, clear, and well-presented
- You can complete recurring tasks independently and with confidence
- You're using Excel tools and formulas to work efficiently
You are methodical, organised, and have a sharp eye for detail. You thrive on routine but can also adapt to ad-hoc requests without losing focus.
You'll bring:
- Proficiency in Microsoft Excel
- Experience performing bank reconciliations
- Familiarity with NetSuite (preferred but not essential)
- Australian citizenship or full working rights in Australia
You'll be someone who:
- Takes ownership and follows through - a true