16/10/2021
Based in the Sutherland Shire, you will be working with a team of electronic security experts in the construction and commercial sectors. We offer on-site parking, flexible hours and a great team environment. We value collaboration in our open and inclusive culture.
This role requires someone financially savvy, flexible and adaptable to a growing business environment.
What you will be doing:
Responsible for administering all the accounts – payable and receivable
Generating weekly rolling cashflow forecast
General finance activities – bank and credit card reconciliation, end of month
Assist with preparation of BAS/IAS and End of Year Tax Return for the external Accountants
Office management – system administration of software users and licences, as well as physical assets and office supplies
Business and contractor compliance – licences, insurances etc are kept up to date.
Payroll, HR support and new employee onboarding
Management of company assets and procurement – vehicles, phones, uniforms
To be successful in this role you will:
Experience in cash flow forecasting
Has experience in office management with solid bookkeeping and accounting experience
Be a self-starter with high attention to detail
Be organised and able to prioritise workloads
Experience within the construction or services industry would be desirable
Experience with simPRO and Xero software
Advanced Excel skills are essential
Maturity to run all facets of the office, this role will grow responsibilities in the future
The ability to work autonomously & team collaborator
Excellent customer relationship skills
Genuine, friendly, honest, and loyal
Tertiary qualifications in bookkeeping, accounting and or business administration will be highly regarded, or the equivalent experience to demonstrate knowledge of accounting standards, taxation and regulatory lodgements.
For further information please contact [email protected]