- Experience preparing and balancing cashbooks.
- Experience preparing and balancing general ledgers and journals.
- Experience preparing tax returns for individuals, trusts, companies, and partnerships.
Role Type
Pay Rate
Description
About the Role
To provide clients with complete, tailored accounting solutions and support clients with business structure, business growth and protection of assets. The key responsibilities include:
Financial:
- Prepare and balance cashbook
- Prepare and balance General Ledgers and Journals
- Sourcing documentation – including via client software and sourcing supporting documentation
- Reconcile Balance Sheets & Profits & Loss
- Prepare Trial Balance and updated Financial Statements
Taxation:
- Under supervision, prepare Tax Returns (for individuals, trusts, companies and partnerships)
Administrative Compliance:
- Prepare BAS and IAS
- Monitoring ATO Tax Lodgement and compliance
- Arranging payment arrangements
- Assessment of quarterly PAYG Tax instalments for client entities and making variations as required
- Adherence to Client Budgets
Qualifications
- Proficient in MS Office (Word, Outlook, and Excel).
- Comfortable with technology
- Proficient in Accounting software(s) used by the company
Australia
New Zealand
United Kingdom
Canada
Singapore
Malaysia





