QUALIFICATIONS
Education
- Should be a graduate of Finance/Accounting or any business-related course
- Should be a CPA (not required)
Product Knowledge
- Complete knowledge of Client accounts and businesses
- At least 2 years of Australian Accounting experience (GST, Tax and Depreciation)
- Experienced in handling multiple clients
- Accounting background; able to understand the language of our interactions with the accounts
- Other expertise that may be defined by the customer
System and Application Knowledge
- Knowledge of Microsoft Office applications such as Outlook, Word, Excel, and PowerPoint
- Advanced Knowledge of accounting tools such as Xero, MYOB, Quickbooks, and other applications that customers use
- Ability to learn new systems and tools as needed
DUTIES AND RESPONSIBILITIES
Customer Receipting
- Record customer payments
- Prepare aged Receivables on demand by our clients
Supplier Payments and Expenses
- Collate supplier invoices into weekly/fortnightly/monthly payment runs, streamlining payment processes wherever possible.
- Ensure all supplier bills are appropriately authorized for payment, and process payments when authorized.
- Record supplier payments and office expenses in accounting software, coding to appropriate accounts.
- Ensure other software’s utilise (Receipt Bank, Bank Link), streamlining the recording process wherever possible.
Reconciliations of Bank Accounts
- Reconcile all bank accounts on a weekly basis.
- Reconcile all bank accounts to the last day of the month each month.
- Reconcile all loan accounts on at least a quarterly basis.
- Prepare monthly reconciliation reports of all bank, loan and credit card accounts.
Processing of Payroll
- Maintain confidential records for all employees
- Process employee pays, prepare ABA files for clients to process within internet banking
- Distribute pay advice to employees, via email ensuring all email addresses are correct
- Track employee leaves accruals.
- Reconcile monthly/quarterly PAYG
- Reconcile and make quarterly superannuation payments
- Reconcile and prepare payment summaries at end of year
- Process end-of-year payroll and lodge with the Australian Taxation Office
Monthly Reports
- Make end-of-month journals as required
- Prepare draft monthly financial statements and email them to Executive Team for review
- Assist draft Business Wrap Ups
ATO Compliance
- Preparation and lodgement of monthly/quarterly Business Activity Statement and Instalment Activity Statement
- Monthly/Quarterly reconciliation of BAS
- Any task deemed necessary by the Service Delivery Manager involving client management