Job Role Overview:
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You will be responsible for accurate financial data entry, balancing daily till takings and managing banking transactions. Expertise in bank reconciliation ensures that all financial records are precise and up-to-date. This includes performing end-of-month reconciliations and generating reports to ensure BAS compliance. Maintaining the quality of financial documentation is also a key aspect of this role.
Key Responsibilities:
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* Perform accurate financial data entry
* Balance daily till takings
* Manage banking transactions
* Ensure financial records are precise and up-to-date through bank reconciliation
* Perform end-of-month reconciliations and generate reports
* Maintain the quality of financial documentation
Required Skills and Qualifications:
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A reliable professional with strong expertise in MYOB is required for this role. The ideal candidate will have excellent organisational skills, attention to detail and the ability to work accurately and efficiently. Strong communication skills are also essential for success in this position.
Benefits:
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This role offers a competitive remuneration package and opportunities for career advancement. If you are a motivated and organised individual with a passion for finance, we encourage you to apply.