We are seeking a skilled financial operations professional to join our team. In this role, you will play a key part in ensuring the accuracy and efficiency of our financial processes.
* Manage daily bank transactions and reconciliations across multiple entities.
* Process receipts, payments, journals and assist with cash flow management.
* Support accounts payable and accounts receivable functions.
* Oversee corporate credit card management and expense reporting.
* Assist with month-end closing procedures.
This is a great opportunity to work in a close-knit team environment, with competitive remuneration and ongoing training opportunities.
Key Responsibilities:
* Financial Transaction Management: Manage daily bank transactions and reconciliations across multiple entities.
* Cash Flow Management: Process receipts, payments, journals and assist with cash flow management.
* Accounts Payable and Receivable: Support accounts payable and accounts receivable functions.
* Expense Reporting: Oversee corporate credit card management and expense reporting.
* Month-End Procedures: Assist with month-end closing procedures.
Benefits:
* Competitive Remuneration Package
* Ongoing Training Opportunities
* Close-Knit Team Environment