KEY POINTS WE FOUND
- Process trust account transactions and reconcile accounts.
- Prepare reports for stakeholders and ensure compliance with statutory obligations.
- Provide accounts payable and receivable support, including credit card and general ledger reconciliations.
- Permanent opportunity based in Brisbane CBD
About Our Client
Our client is a well-established, national organisation with a long-standing reputation for excellence, professionalism, and providing high-quality services.
Job Description
- Process trust account transactions.
- Reconcile trust accounts and prepare reports for internal and external stakeholders.
- Monitor account balances to ensure compliance with statutory obligations.
- Maintain accurate and up-to-date financial records for trust accounts.
- Liaise with internal teams to resolve discrepancies or queries related to accounts.
- Accounts payable and accounts receivable support.
- Corporate credit card reconciliations.
- General ledger reconciliations.
- Assisting with month-end processes and reporting.
- Ad-hoc duties as required.
The Successful Applicant
- Experience in trust accounts.
- Strong attention to detail and accuracy in handling financial transactions.
- Exposure to Accounts Payable, Accounts Receivable, credit card reconciliations, and general ledger reconciliations.
- Excellent attention to detail and accuracy.
- Strong communication and stakeholder management skills.
- Ability to manage competing priorities and meet deadlines.
What's on Offer
- Permanent, full-time opportunity.
- WFH flexibility.
- Supportive team and collaborative culture.
- Based Brisbane CBD.
- ASAP start.
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Skills
0 of 10 matchedAccount receivablesAccounts payableAttention to detailFinancial reportingGeneral ledger reconciliationMicrosoft officeReconciliationStakeholder managementTime managementTrust accounts
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