You will;
- Take responsibility for PnL & Balance Sheet activities relating to the production of data both onshore & offshore
- Monitor and control accuracy and completeness of underlying data used in the Financial Statements to mitigate operational & reputational risk.
- Assist with Treasury month end reporting. This will include monthly reconciliations, Balance Sheet review, journal preparation and oversight of suspense clearing.
- Prepare financial statements disclosure notes, ensuring the timely and accurate delivery to Group.
- Oversee and work closely with the outsourced supplier to ensure the assigned tasks are accurately performed.
- Take part in continuous imrovement projects.
- 3+ years experience in Financial Accounting in financial markets / wholesale banking
- CA/CPA qualification
- Prior experience using Oracle would be well regarded, along with data tools such as Power BI, Tableau or Alteryx
- Working knowledge of financial markets products, with Treasury an added advantage
- Good communication skills; ability to express your opinion when facing off at senior levels
- Ambitious and looking to continue learning & developing
- Full Australian working rights & fluent English skills