Prepare balance sheet reconciliations on a timely/monthly basis for all designated entities, ensuring a robust balance sheet reconciliation process is in place and adhered to
Complete monthly financial close process, including finalization of actuals, month on month analytical review to support the integrity of the actuals.
Prepare statutory and regulatory reports / returns to ensure timely and accurate submission of reports to APRA & other regulatory authorities.
Support auditor requests and queries are responded to on a timely basis.
Support Ad Hoc requests for data mining and analysis.
Develop and Maintain effective relationships with key stakeholders (onshore Finance Controllership teams) ensuring all needs are delivered.
Provide accurate inputs for monthly financial result discussions with key stakeholders.
Ensure the accuracy of accounting outputs, by guaranteeing processes adhere to compliance and control disciplines as outlined in the Accounting Standards Manual and other Group policies and procedures.
Skills, Qualification & experience
CA with 4+ years relevant experience
Strong analytical and technical skills with high attention to detail
Experience of working in GL related processes in Banking / Financial Services Industry
Understanding of IFRS and PeopleSoft knowledge preferable
Good communication skills (both written and oral)
Show flexibility and ability to adapt to changing work environment and requirements, work under pressure to meet tight deadlines
This is an opportunity to undertake a role offering exceptional opportunities for professional development with a broad range of career paths.