Finance Operations Analyst - Novated Leasing & Payments

MYOB

Sydney

Hybrid

AUD 70,000 - 100,000

Full time

12 days ago
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Benefits offered by this job

Hybrid workplace
Home office stipend
Corporate discounts
Wellbeing program
Leave options

Job summary

MYOB is seeking a Finance Operations Analyst to keep the money moving behind our novated leasing portfolio. You will manage payments, reconcile accounts, and support month-end reporting in a hands-on Finance Operations role.

Work in a flexible, hybrid environment with the chance to improve processes and collaborate with financiers, dealers and partners while ensuring accuracy and compliance across transactions.

Qualifications

  • Experience in high-volume reconciliations such as accounts receivable, accounts payable, trust accounting or similar.
  • Solid understanding of accounting principles and reconciliation processes.
  • Strong attention to detail and accuracy when processing financial transactions.

Responsibilities

  • Remit payments to financiers, dealers and third parties within agreed timeframes and SLAs.
  • Receipt and allocate employer and employee funds to novated lease accounts.
  • Reconcile novated leasing bank accounts, trust accounts and the general ledger.
  • Investigate and resolve discrepancies, unallocated funds and aged items.
  • Support month-end close, including aged debt and reconciliation reporting.
  • Maintain accurate records for audit, compliance and financier reporting.
  • Work closely with internal teams, financiers, dealers and other partners.
  • Help improve our financial processes, controls and team ways of working.

Skills

Reconciliations
Attention to detail
ERP systems
Microsoft Excel
Time management

Tools

ERP systems
CRM systems
Microsoft Excel

Job description

MYOB is seeking a Finance Operations Analyst to keep the money moving behind our novated leasing portfolio. You will manage payments, reconcile accounts, and support month-end reporting in a hands-on Finance Operations role.

Work in a flexible, hybrid environment with the chance to improve processes and collaborate with financiers, dealers and partners while ensuring accuracy and compliance across transactions.

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