Key Responsibilities
- Maintain and update company records, spreadsheets, and financial documents.
- Assist with invoices, expenses, and payment tracking to ensure accuracy and timely processing.
- Prepare and manage reports using Excel—applying formulas, sorting data, and creating summaries.
- Manage emails, calls, and day‑to‑day correspondence professionally.
- Support budgeting, reporting, and basic reconciliations under management guidance.
Who We’re Looking For
- Strong Excel skills (formulas, pivot tables, and reporting).
- Excellent attention to detail and accuracy in all work.
- Clear communicator—professional and approachable.
- Organised, proactive, and able to manage multiple priorities.
- Comfortable working independently in a remote setup.
- Quick to learn and adapt to new tools and systems.
What We Offer
- 40 days of paid annual leave.
- A fully remote position—work from wherever you’re most productive.
- Supportive and collaborative team environment.
Minimum of 2 years’ experience in finance, accounting and general office administration.
- Basic understanding of bookkeeping and financial routines.
- Confident using Microsoft Excel and other Office tools.
- Experience with Xero or similar accounting software would be an advantage.
- Good attention to detail and strong organisational skills.
- Experience with invoicing, reconciliations, or expense tracking would be useful.