Job Description

The role

Key responsibilities include:

  • Reviewing bank statements and reconciling public monies with general ledger entries

  • Completing daily and monthly reconciliations, investigating discrepancies and taking corrective action

  • Responding to internal and external audit queries and analysing financial data

  • Assisting with tax and statutory reporting obligations in line with legislative requirements

  • Managing business invoice requests, customer payment collections and recommending debt write offs

  • Preparing monthly compliance reports to support integrity, control and fraud mitigation

  • Supporting accounts payable activities, including payment runs and on time payment reporting

  • Identifying and recommending continuous improvements to financial processes and practices
  • You will also work professionally and cooperatively across ASIC, modelling our values of Accountability, Profe...

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