Job Overview
The primary focus of this role is to provide accurate and timely financial management services to clients. This includes maintaining client and office accounts, processing payments and invoices, and handling banking and general financial queries.
* Manage client accounts, including lodgements, withdrawals, and reconciliations.
* Process EFT payments, cheques, and supplier invoices.
* Handle banking and general financial queries in a professional and courteous manner.
* Maintain petty cash and manage month-end processes, including bank reconciliations and reporting.
Key Requirements:
* Previous experience as a financial administrator or bookkeeper.
* Strong knowledge of accounting software and financial systems.
* Excellent organisational skills and attention to detail.
* Ability to manage multiple tasks and meet deadlines in a fast-paced environment.
Why Choose Us?
We offer a dynamic and supportive work environment, with opportunities for career growth and professional development.