To maintain accurate financial records and strong financial controls, manage debt collection and subscription processes, and provide timely reporting, forecasting and financial support to Senior Management, the Treasurer, Executive Team and Board.
⭐START: ASAP | END: 12 months⭐
What you’ll do:
⭐ Manage bookkeeping, reconciliations, month-end and year-end financial processes
⭐ Prepare management accounts, budgets, cash flow forecasts and Board reporting
⭐ Improve financial systems, controls and debt management while supporting finance projects
What you’ll need:
⭐ Qualified accountant (or equivalent experience) with strong accounting and reporting expertise
⭐ Experience with budgeting, forecasting, financial statements and cloud accounting systems (ideally Xero)
⭐ Advanced Excel skills, excellent attention to detail, and the ability to work independently to tight