Financial Accountant: ANZ Pooling & Reporting

Viscount Reuse

Australia

On-site

AUD 90,000 - 130,000

Full time

4 days ago
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Job summary

Viscount Reuse is seeking a Financial Accountant to support accounting, reporting and financial control for our Pooling businesses across Australia and New Zealand.

The role covers month-end close, balance sheet reconciliations, statutory and tax activities, budgeting and forecasting, and cross-functional collaboration to improve reporting quality. You will work with Finance and Shared Services in a dynamic, multi-entity environment.

Qualifications

  • Tertiary qualification in Accounting, Finance, Commerce or a related discipline.
  • Studying toward, or intending to commence, a CA or CPA qualification.
  • Some practical accounting experience, ideally in a commercial, professional services or multi-entity environment.
  • Exposure to month-end activities such as journals, accruals, reconciliations, supporting schedules and financial reporting.
  • Developing analytical skills, with the ability to investigate variances, identify issues and communicate findings clearly.

Responsibilities

  • Prepare month-end and year-end accounting activities for AU and NZ Pooling, including journals, accruals, reconciliations, reporting schedules and variance analysis.
  • Complete balance sheet reconciliations, investigate reconciling items and resolve issues with Finance and Shared Services.
  • Support statutory, tax and compliance activities, including BAS, FBT, year-end audits and external reporting.
  • Assist with budgeting, forecasting and monthly performance reviews through data preparation and analysis.
  • Provide accounting support across revenue, cost of sales, operating costs, leases and fixed assets.

Skills

Month-end analysis
Variance analysis
Attention to detail
Collaboration with finance
Excel proficiency

Education

Accounting/Finance degree
CA/CPA in progress

Tools

SAP

Job description

Viscount Reuse is seeking a Financial Accountant to support accounting, reporting and financial control for our Pooling businesses across Australia and New Zealand.

The role covers month-end close, balance sheet reconciliations, statutory and tax activities, budgeting and forecasting, and cross-functional collaboration to improve reporting quality. You will work with Finance and Shared Services in a dynamic, multi-entity environment.

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Healthcare
Parental leave – enhanced
Wellness program
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