About Us: We are one of Australia's largest Foreign Exchange CFD Providers and are continuing to grow rapidly to become the number one Foreign Exchange CFD Provider globally in the coming years.
The office is in Sydney - CBD.
Your responsibilities will be as below;
- Perform daily reconciliation reports.
- Liaising with other teams regarding any transaction issues identified through daily reconciliation.
- Liaising with payment service providers on transaction issues.
- Timely and accurate preparation of reports for daily and month-end accounting processes.
- Play a role in testing and implementation of new payment systems.
- Processing payments and invoices.
- Miscellaneous monitoring of account transactions to ensure accuracy and compliance within audit policies and framework.
- Coordinating internal and external audits.
What you will need to succeed in this role;
- Degree in accounting or related field preferred.
- Intermediate Excel skills.
- Proficient in Microsoft Office suite of software.
- The ability to work autonomously, as well as in a team environment.
- Excellent communication skills.
- A motivated and energetic approach with the desire to drive continuous improvements.
- Excellent attention to detail and accuracy – Ability to identify errors.
- Minimum 6 months of experience.
If you meet the above criteria, please provide a copy of your resume/CV on SEEK for our consideration.
No agencies.