Job Description
The Company
We are internationally recognised for offering a variety of accommodation options across different market segments. Our properties cater to both business and leisure travellers, providing comfortable and reliable stays in locations throughout Australia, New Zealand, and beyond.
The Role
Perform daily and monthly bank reconciliations to ensure accurate cash balancesPrepare and post journal entries for routine transactions and adjustmentsMaintain the fixed asset register, including additions, disposals, and depreciationReview and analyse expense accounts to identify variances and support cost controlAssist with GST/BAS returns and ensure compliance with tax regulationsSupport preparation of financial statements and management reportsProvide documentation for internal and external auditsEnsure adherence to company policies, AASB/IFRS standards, and regulatory requirements
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