Before you apply, are you: Energetic: You can tackle any situation with enthusiasm and determination.
Enthusiastic: You're highly motivated and naturally enthusiastic about what you do and that's reflected in the way you behave and talk.
Empathetic: You are friendly, personable and a team player.
You genuinely care about providing exceptional service to our customers, clients and staff members.
Secure Parking is one of the largest commercial car park operators in Australia, with over 450 car parks across Australia and New Zealand.
Secure Parking was founded over 40 years ago and is now owned by Park24 Co. Ltd, which is Japan's largest commercial car park operator.
Our vision is to be the leader in the markets we operate - as judged by the customers we serve, and this is grounded in our commitment to provide a seamless experience across every step of the customer journey.
Secure Parking's core values are People First, Resilience, Integrity, Daring, and Passionate.
We are looking for a detail-oriented and proactive Revenue Accountant to join our finance team.
In this role, you will be responsible for recording and reconciling car park revenue for each site, investigating discrepancies, and supporting our reporting team in producing comprehensive reports.
You will also work closely with various stakeholders, including Commercial Area Managers and the Financial Planning & Analysis team to ensure the accuracy and timeliness of financial reporting.
Key Responsibilities: Month-End Activities: Accurately process, manage, and reconcile car park and corporate revenues.
Handle collections and bankings, proactively addressing any issues with third-party suppliers.
Manage general ledger revenue control accounts and process revenue-related journals.
Reconcile online revenue balance sheet accounts and collaborate with offshore teams to ensure accurate revenue recording.
Produce a portfolio of managed site reports and respond to associated queries.
Assist the broader finance team with end-of-month deliverables as needed.
General Accounting Duties: Conduct daily site settlement reconciliations.
Update daily revenue tracking reports.
Collaborate effectively with team members to meet deadlines and provide coverage during absences.
Support commercial teams with financial reporting to achieve business objectives.
Engage in projects such as rent reviews and audits, promoting continuous improvement and process efficiency.
Position Requirements: Bachelor's degree in accounting, financial management, or a related field.
Experience with multi-ledger financial solutions, adept at reconciling high transaction volumes and managing large data sets.
Preferred experience with merchant facilities.
Proven ability to produce accurate, timely reports and customize reports for stakeholders.
Experience in reconciling complex balance sheet accounts and resolving discrepancies.
Strong written, verbal, and interpersonal communication skills.
Ability to contribute to business efficiency and profitability.
Flexibility to work around peak month-end periods to ensure timely deliverables.