Job Description
The role
Key responsibilities include:
Reviewing bank statements and reconciling public monies with general ledger entriesCompleting daily and monthly reconciliations, investigating discrepancies and taking corrective actionResponding to internal and external audit queries and analysing financial dataAssisting with tax and statutory reporting obligations in line with legislative requirementsManaging business invoice requests, customer payment collections and recommending debt write offsPreparing monthly compliance reports to support integrity, control and fraud mitigationSupporting accounts payable activities, including payment runs and on time payment reportingIdentifying 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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