Back to jobsAssist with preparation of monthly Profit & Loss statements and Balance Sheet reconciliations, ensuring accuracy and compliance with accounting standards.
Prepare and submit monthly BAS returns in line with ATO requirements.
Support dealership cash flow through daily account maintenance and precise ledger accuracy.
Maintain and manage the fixed asset register, including processing additions and disposals.
Investigate and resolve financial queries raised by dealership management.
Work alongside senior accountants on month-end close, reporting tasks, and ad-hoc financial projects.