Accountant at Esteem Care Services Pty Ltd
Cairns QLD 4870, , Australia -
Full Time


Start Date

Immediate

Expiry Date

28 Sep, 25

Salary

85000.0

Posted On

29 Jun, 25

Experience

1 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Accounting Software, Xero

Industry

Accounting

Description

Esteem Care Services is excited to announce a job opportunity for the position of Accountant in our Finance Department at the Caboolture location. This role offers a fantastic chance for someone with a passion for finance to advance their career while contributing to the continued success of our organization.

QUALIFICATIONS

Ideal candidates should meet the following qualifications:

  • Bachelor’s or master’s degree in accounting.
  • Progress toward professional accounting (CPA, ACCA) membership.
  • Proficiency in accounting software (XERO).
  • Strong analytical and problem-solving skills.
  • High attention to detail and accuracy.
  • Excellent organizational and communication abilities.
  • Familiarity with tax regulations and financial reporting standards.

WHY YOU SHOULD APPLY

  • Opportunities for professional growth and career development.
  • A collaborative and supportive work environment.
  • Be part of a dynamic team that values innovation and excellence.
    We are seeking an accountant to join our Finance and Accounting team. We are looking for candidates excited to grow their practical experience and further develop their skill set in a full-time role.
Responsibilities

As the Accountant, you will play a pivotal role in managing and optimizing our organization’s financial operations. Your key responsibilities will include:
· Managing Daily Financial Transactions: Oversee accounts payable and receivable, ensuring timely and accurate processing of invoices and payments.
· Financial Reporting and Budgeting: Prepare comprehensive financial reports, statements, and budgets to provide insights into the company’s financial health and inform strategic decision-making.
· Bank Reconciliation and Data Maintenance: Regularly reconcile bank statements and maintain accurate financial records to ensure data integrity and facilitate efficient audits.
· Tax Filings and Audits: Assist in the preparation and submission of tax returns, ensuring compliance with relevant tax laws and regulations, and supporting internal and external audit processes.
· Regulatory Compliance: Ensure adherence to company policies and regulatory standards, maintaining up-to-date knowledge of financial regulations to mitigate risks.
· Month-End and Year-End Closings: Support the closing processes by preparing necessary journal entries, reconciling accounts, and generating financial statements.
· Process Improvement Collaboration: Work closely with internal teams to identify opportunities for enhancing financial processes and implementing best practices.
· Stakeholder Communication: Provide exceptional customer service to both internal and external stakeholders, addressing inquiries and providing financial information as needed.
· Ad Hoc Financial Support: Assist with various tasks as required to support the finance team and contribute to the organization’s financial objectives.
· Accounting and Tax Management: Oversee the organization’s accounting and tax requirements, including Business Activity Statements (BAS), Instalment Activity Statements (IAS), payroll, tax payment plans, and related queries.
· Financial Statement and Tax Return Preparation: Collaborate in the preparation of financial statements and tax returns, ensuring accuracy and compliance with applicable standards.
· Bookkeeper Liaison: Coordinate with the bookkeeper to ensure timely and accurate completion of accounting tasks and readiness for review.
· Database Maintenance: Proactively manage financial databases to enhance data integrity and support efficient financial analysis.
· Financial Advice Database Updates: Update the financial advice database with income and tax details to assist financial planners in client reviews.
· NDIS Invoicing Compliance: Ensure that invoicing practices adhere to National Disability Insurance Scheme (NDIS) standards, maintaining compliance and facilitating timely payments.
· Client Correspondence: Prepare client communications and engage with clients as necessary to address financial inquiries and provide support.
This role requires a detail-oriented individual with strong analytical skills, excellent communication abilities, and a thorough understanding of accounting principles and regulatory requirements. The ideal candidate will be proactive in identifying opportunities for process improvements and committed to maintaining the highest standards of financial integrity.

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