Our client is an essential Logistics organisation who have continued to see exceptional growth and strong strategic capabilities. Highly known for their exemplary customer service and dedication to the wider community.
Reporting to the Finance Manager, your responsibilities will include but not be limited to:
● Prepare and post all weekly and monthly accruals
into the General Ledger for all entities
● Complete the daily banking for all entities
and post the journals into the General Ledger
● Manage the Fixed Asset Register ongoing and post
the depreciation on a monthly basis
● Complete the monthly balance sheet reconciliations and preparation for review and sign off by the Finance Manager
● Complete the month end financial accounting to
close off the monthly results
● Data entry
● Banking / Sales imports
● Assistance with AP
To apply online, please click on the appropriate link below. Alternatively, for a confidential discussion, please contact Bre Wood on 0499 448 *** or email *****@sharpandcarter.com.au