Accounting AssistantRemote Staff
Salary: Agreement
Work form: Full time
Posting Date: 08/02/2026
Deadline: 07/08/2021
About the Client
Is an innovative powersports manufacturer, with engineering and motor manufacturing based in Melbourne, Australia and a composite manufacturing based in Banbueng, Thailand.
Employment Type: Part-time; 20 hours per week
Work Schedule: 11:00 AM - 03:00 PM Philippine Time
Requirements
Minimum of 2 years Australian Accounting experience with AU/NZ taxation and payroll using XERO accounting system.
Excellent communication skills to work across all levels in the organization.
Strong work ethics, analytical, team player.
Focused with keen attention to detail.
Ability to work under pressure with excellent stakeholder management abilities.
Responsibilities
Month end close - processing of general journals, accruals, standing journals and general ledger adjustments.
Responsible for day-to-day reconciliation of bank accounts
Assist with preparation of monthly management accounts and board reports for a variety of clients to provide relevant and timely financial information to management and the Board including, profit and loss, balance sheet and cash flow statements.
Perform bank reconciliations for overseas and Australian bank accounts.
Assistance in managing the Accounts Payable.
Assistance in managing the Accounts Receivable ledger across clients and ensure appropriate procedures are being followed.
Is an innovative powersports manufacturer, with engineering and motor manufacturing based in Melbourne, Australia and a composite manufacturing based in Banbueng, Thailand.
Employment Type: Part-time; 20 hours per week
Work Schedule: 11:00 AM - 03:00 PM Philippine Time
Requirements
Minimum of 2 years Australian Accounting experience with AU/NZ taxation and payroll using XERO accounting system.
Excellent communication skills to work across all levels in the organization.
Strong work ethics, analytical, team player.
Focused with keen attention to detail.
Ability to work under pressure with excellent stakeholder management abilities.
Responsibilities
Month end close - processing of general journals, accruals, standing journals and general ledger adjustments.
Responsible for day-to-day reconciliation of bank accounts
Assist with preparation of monthly management accounts and board reports for a variety of clients to provide relevant and timely financial information to management and the Board including, profit and loss, balance sheet and cash flow statements.
Perform bank reconciliations for overseas and Australian bank accounts.
Assistance in managing the Accounts Payable.
Assistance in managing the Accounts Receivable ledger across clients and ensure appropriate procedures are being followed.
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