Assistant Accountant
Current• Process and reconcile suppliers’ invoices, ensure prompt payment in an accurate and timely manner.• Ensure all bank transactions of all bank accounts are processed on system.• Assist with the maintenance of cashflow forecasting.• Maintain accuracy of general ledger processing to agreed timelines.• Assist in preparation of month end and year end accounts.• Assist with balance sheet reconciliations such as general journals, depreciation, prepayments, and accruals as well as verified balance sheet variances.• Prepare, review and lodge monthly BAS and Payroll tax by due dates.