Reporting directly to the Financial Reporting Manager, you will be responsible for the following duties:
Perform detailed reconciliations of key financial balances, including thorough analysis and resolution of any discrepancies.
Identify and resolve issues that impact financial reporting and processes, ensuring smooth operations.
Prepare accurate accounting journals to ensure timely and precise financial records.
Manage and control accounts payable processes, ensuring accuracy and compliance with company policies.
Provide support with the preparation of financial reports and ad-hoc financial analysis, providing actionable insights for decision-making.
Collaborate closely with cross-functional teams including Operations, Data, Treasury, and Sales, to ensure seamless financial integration across the business.
Where required, work with large datasets and manage complex transactions across multiple systems to ensure accuracy and completeness.
Assist in the preparation and review of financial statements, regulatory reports, and tax returns, ensuring compliance with all relevant standards and deadlines.
Drive process improvements to streamline financial workflows, reduce manual tasks, and enhance operational efficiency.
Contribute to reporting and analysis that supports the company's securitisation funding program, ensuring accuracy and timeliness of financial reporting.
To be successful with this opportunity, you must have experience in the following areas:
Tertiary qualification in Accounting, Economics or business related disciplines; perhaps you are on the path to CA or CPA qualifications.
Proven track record working across financial services will be highly regarded.
Detail-oriented, highly numerical with a flexible approach to work.
A flair for picking up new systems and competent in Excel; advanced Excel skills are highly regarded.
Enjoy working in a team environment.
Exceptional communication skills with a passion for innovation.
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