Accountant - #35247
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What you'll do
- Process supplier invoices accurately and within required timeframes.
- Match supplier invoices against purchase orders, delivery documentation, agreed pricing and internal approvals.
- Review invoices for duplicate charges, incorrect pricing, missing information and other discrepancies.
- Liaise with Australian and international suppliers and internal departments to resolve invoice and account queries.
- Prepare supplier payment runs for management review and approval.
- Process approved payments in accordance with agreed supplier payment terms.
- Reconcile supplier statements and investigate outstanding, disputed or unallocated transactions.
- Maintain accurate supplier records, banking details and supporting documentation.
- Process employee expense claims and complete company credit card reconciliations.
- Ensure invoices and supporting documentation are appropriately authorised and retained.
- Assist with supplier credit applications and account maintenance.
- Monitor aged accounts payable and upcoming payment commitments.
What they're looking for
- Bachelor’s degree in Accountancy, Accounting, Finance, Commerce or a related discipline.
- Previous experience in an accounts payable, accounts receivable or general accounting position.
- Experience processing a high volume of financial transactions.
- Strong understanding of accounts payable and accounts receivable processes.
- Experience completing bank, supplier and customer account reconciliations.
- Experience using accounting software or an enterprise resource planning system.
- Strong Microsoft Excel skills.
- Good understanding of general accounting principles.
- High level of accuracy and attention to detail.
- Ability to manage competing priorities and meet weekly and monthly deadlines.
- Strong written and verbal English communication skills.
- Ability to communicate professionally with Australian customers, suppliers and internal stakeholders.
Nice to have
- Previous experience using Pronto Software, particularly Pronto Xi.
- Experience using Pronto Xi for accounts payable, accounts receivable, purchasing, inventory and general ledger functions.
- Certified Public Accountant qualification in the Philippines, or currently working towards CPA licensure.
- Previous experience working for or supporting an Australian company.
- Understanding of Australian GST, BAS, accounting and business practices.
- Experience working with Australian dollars and foreign-currency transactions.
- Experience within a manufacturing, wholesale, distribution or retail supply environment.
- Experience managing or reconciling major retail customer accounts.
Summarised by NextRaise from the employer’s description, which follows in full below.
Full description from employer
This is a great opportunity for an Accountant to join a highly collaborative company that values its people, encourages long-term career growth, and supports continuous learning and professional development.
Company Profile:
Our client is a wholly owned Australian company manufacturing a large range of steel products including Garden Sheds and Outdoor Buildings. From its manufacturing facility in Brisbane, our client distributes an extensive range of outdoor storage products throughout Australia, as well as exporting to the Pacific region and Europe. They have been a major supplier of outdoor storage products for over 55 years. The good reputation they have built is now being recognized throughout Australia and rapidly expanding to overseas markets including New Zealand and Europe.
Duties and Responsibilities:
Accounts Payable
- Process supplier invoices accurately and within required timeframes.
- Match supplier invoices against purchase orders, delivery documentation, agreed pricing and internal approvals.
- Review invoices for duplicate charges, incorrect pricing, missing information and other discrepancies.
- Liaise with Australian and international suppliers and internal departments to resolve invoice and account queries.
- Prepare supplier payment runs for management review and approval.
- Process approved payments in accordance with agreed supplier payment terms.
- Reconcile supplier statements and investigate outstanding, disputed or unallocated transactions.
- Maintain accurate supplier records, banking details and supporting documentation.
- Process employee expense claims and complete company credit card reconciliations.
- Ensure invoices and supporting documentation are appropriately authorised and retained.
- Assist with supplier credit applications and account maintenance.
- Monitor aged accounts payable and upcoming payment commitments.
- Process supplier credits and ensure they are correctly allocated.
- Assist with foreign-currency transactions and supplier reconciliations where required.
- Ensure expenses are correctly allocated to the relevant entity, brand, department or cost centre.
Accounts Receivable
- Process customer invoices, credit notes and account adjustments accurately.
- Allocate customer payments and maintain accurate customer account records.
- Complete daily bank and payment reconciliations.
- Monitor outstanding customer accounts and aged receivables.
- Follow up overdue accounts professionally and consistently.
- Liaise with Australian customers and internal teams to resolve payment disputes, pricing differences, deductions and account queries.
- Process customer claims, deductions and credit requests in accordance with company procedures.
- Reconcile customer accounts and major retail customer remittances.
- Assist with new customer account applications and credit-limit reviews.
- Escalate overdue or high-risk accounts to the Managing Director and Commercial Director.
- Provide regular reporting on overdue accounts, collection activities and customer payment performance.
- Assist with maintaining customer trading terms and credit controls.
- Support the reconciliation of major Australian retail customer accounts.
- Ensure customer receipts, credits and adjustments are allocated to the correct entity, account and brand.
General Accounting and Reporting
- Complete bank, credit card, balance sheet and general ledger reconciliations.
- Assist with weekly and monthly cash-flow reporting.
- Assist with month-end and year-end accounting processes.
- Prepare journals, accruals, prepayments and account adjustments as required.
- Support the preparation of monthly management reports.
- Assist with Australian GST, BAS and other financial reporting requirements.
- Maintain accurate financial records in accordance with company procedures and applicable accounting standards.
- Assist with inventory, purchasing, freight and product-cost reconciliations.
- Investigate financial discrepancies and provide clear supporting documentation.
- Assist with budgeting, forecasting and financial analysis when required.
- Support external accountants, auditors and other professional advisers.
- Maintain organised and complete electronic financial records.
- Provide financial information and reports to management as required.
- Assist with reporting by entity, brand, department, customer or product category.
- Assist with Philippine statutory accounting and reporting requirements where specifically assigned.
Systems and Process Improvement
- Maintain accurate financial information within Pronto Xi and associated business systems.
- Use ERP systems to support accounts payable, accounts receivable, purchasing, inventory and general ledger functions.
- Identify opportunities to improve finance, reconciliation and reporting processes.
- Assist with developing and documenting finance procedures and internal controls.
- Support automation and system improvements that reduce manual processing and errors.
- Ensure appropriate financial controls and approval processes are followed.
- Work with Australian and Philippine-based departments to improve purchase order, invoice approval and customer account processes.
- Assist with testing and implementing finance-related system improvements.
- Maintain accurate electronic records using approved company systems and document-management platforms.
- Support consistent accounting processes across the company’s brands.
Internal and External Relationships
- The position will work closely with:
- Managing Director
- Commercial Director
- Australian finance and administration teams
- Philippine-based support teams
- Operations and production teams
- Sales, marketing and customer service teams
- Purchasing, planning and inventory teams
- Australian and international suppliers
- Customers and major retail partners
- Freight and logistics providers
- External accountants, auditors and professional advisers
Requirements
Must-Have Skills/Qualifications
- Bachelor’s degree in Accountancy, Accounting, Finance, Commerce or a related discipline.
- Previous experience in an accounts payable, accounts receivable or general accounting position.
- Experience processing a high volume of financial transactions.
- Strong understanding of accounts payable and accounts receivable processes.
- Experience completing bank, supplier and customer account reconciliations.
- Experience using accounting software or an enterprise resource planning system.
- Strong Microsoft Excel skills.
- Good understanding of general accounting principles.
- High level of accuracy and attention to detail.
- Ability to manage competing priorities and meet weekly and monthly deadlines.
- Strong written and verbal English communication skills.
- Ability to communicate professionally with Australian customers, suppliers and internal stakeholders.
- Ability to work independently while supporting teams located across Australia and the Philippines.
- Ability to handle confidential financial, banking, customer and employee information appropriately.
Favourable / Advantageous:
- Previous experience using Pronto Software, particularly Pronto Xi.
- Experience using Pronto Xi for accounts payable, accounts receivable, purchasing, inventory and general ledger functions.
- Certified Public Accountant qualification in the Philippines, or currently working towards CPA licensure.
- Previous experience working for or supporting an Australian company.
- Understanding of Australian GST, BAS, accounting and business practices.
- Experience working with Australian dollars and foreign-currency transactions.
- Experience within a manufacturing, wholesale, distribution or retail supply environment.
- Experience managing or reconciling major retail customer accounts.
- Experience with inventory, freight or product-cost reconciliations.
- Experience assisting with month-end reporting and balance sheet reconciliations.
- Familiarity with electronic invoice processing, purchase order matching and financial reporting systems.
- Experience working across multiple companies, entities, brands, departments or cost centres.
- Experience within a shared-services, international support or business-process outsourcing environment.
Key Skills and Attributes
- The successful candidate will demonstrate:
- Strong attention to detail and financial accuracy.
- A practical and hands-on approach.
- Good problem-solving and investigative skills.
- Strong organisational and time-management skills.
- Confidence following up overdue accounts and resolving disputes.
- Professional communication with customers, suppliers and internal stakeholders.
- Ability to handle confidential information appropriately.
- Ability to work independently while contributing to the wider team.
- A willingness to question discrepancies and follow issues through to completion.
- A continuous-improvement mindset.
- Reliability, accountability and a strong work ethic.
- Ability to work across multiple departments and brands in a fast-paced environment.
- Ability to build strong working relationships with colleagues based in Australia.
- A proactive approach to identifying and resolving financial issues.
The employee must:
- Follow all company privacy, confidentiality and information-security policies.
- Only access financial information required to perform their duties.
- Protect login credentials and company systems from unauthorised access.
- Store and transfer documents only through approved company systems.
- Immediately report suspected fraud, data breaches, unauthorised access or unusual financial transactions.
- Maintain the confidentiality of financial and commercial information during and after employment.
- Follow applicable Australian and Philippine privacy and data-security requirements.
Workplace Expectations
- Act honestly, professionally and in the best interests of the company.
- Follow workplace health and safety requirements.
- Maintain the confidentiality of company, customer, supplier and employee information.
- Treat colleagues, customers and suppliers respectfully.
- Follow company policies, procedures and approval requirements.
- Contribute positively to continuous improvement and teamwork.
- Maintain professional communication with the Australian and Philippine-based teams.
- Represent the company and its brands professionally.
- Perform other reasonable duties relevant to the position when required.
Job Type: Full-Time Permanent
Schedule: Monday-Friday, Australian Business Hours
Location: Full-Onsite
Industry: Industrial Manufacturing
Company
Company facts come from this company's own listings. We only show what the postings themselves carry.