- Data Management: Accurately manage and process large volumes of financial data to support the finance team’s ongoing work.
- Monthly Reconciliations: Assist with monthly bank, ledger, and account reconciliations to ensure all financial records are up to date.
- Ad-Hoc Financial Tasks: Provide general assistance to the finance team, completing various tasks needed to get the financials in order ahead of the system implementation
- Preparation for System Implementation: Ensure data integrity and assist in organising financial information in preparation for the upcoming system transition.
- Financial Reporting: Help with preparing financial reports and documentation as needed.
- Accounts Payable/Receivable: Support invoicing and payment processes, ensuring timely and accurate recording of transactions
- Strong Excel skills
- Administration experience
- Proactive in dealing with issues
- Intention to train and study a formal accounting qualification
- Continuous improvement mindset in processes and ways of working
- Able to build relationships across the organisation
- Good communication and interpersonal skills
- Ability to meet challenging deadlines, prioritise work and be accurate