Assistant Accountant
Tyche Management
Posted 7 days ago
Assist with Accounts Payable and Accounts Receivable processing across multiple entities
Perform daily bank reconciliations and ensure accuracy of financial records
Manage rental receipts and perform regular reconciliations
Support month-end and year-end closing, including journal entries, prepayments, and fixed asset register maintenance
Carry out general bookkeeping and data entry duties
Assist in preparing monthly financial statements and cash flow reports
Support the preparation and lodgement of BAS, PAYG, and GST returns
Assist with payroll processing, superannuation, and employee reimbursements
Liaise with external auditors, tax agents, and insurers as required
Maintain well-organized financial records and supporting documentation in shared drives
Provide support for ad-hoc financial analysis, reports, and administrative accounting tasks
About Tyche Management
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