Working closely with senior finance leadership, you will play a key role in delivering accurate and timely financial information to support decision-making across the business. This position offers a mix of core financial accounting responsibilities alongside opportunities to improve processes and systems. Key Responsibilities Support month-end close, including journals, reconciliations and trial balance preparation Assist in the preparation of financial statements and statutory reporting requirements Maintain the general ledger and ensure integrity of financial data Provide analysis and insights to support business decision-making Assist with audit processes and liaise with external stakeholders Support inventory, asset accounting and balance sheet management Contribute to process improvement and system enhancements About You CA/CPA qualified (or working towards) Strong grounding in financial accounting and reporting Experience in month-end, reconciliations and statutory reporting Ability to identify issues and deliver accurate, timely outcomes Strong communication skills and ability to work cross-functionally Proactive mindset with a focus on continuous improvement If this sounds like the role for you, click APPLY NOW or email madi.hendrickse@perigongroup.com.au