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Accountant - UK (with Netsuite experience)

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Requirements For this role Netsuite experience is a must Australian Accounting experience will be an added advantage Handling the Accounts payable function Month End Journal postings Prepare and review monthly, quarterly, and annual financial statements Ensure compliance with statutory obligations including payroll tax Prepare and reconcile bank statements and credit card accounts. Process employee payroll in line with UK & Australian UK standards. Handle superannuation contributions and Single Touch Payroll (STP) reporting if only applicable. Maintain the general ledger, journals, and subsidiary accounts. Prepare and process electronic fund transfers (EFT), BPAY, cheques, and credit card payments UK/AUS. Perform regular supplier, and ledger reconciliations. Generate and issue customer invoices accurately and on time. Role: Handling the Accounts payable function Month End Journal postings Prepare and review monthly, quarterly, and annual financial statements Ensure compliance with statutory obligations including BAS, GST, FBT, and payroll tax Prepare and reconcile bank statements and credit card accounts. Process employee payroll in line with Australian Fair Work and ATO requirements & UK standards/requirements Handle superannuation contributions and Single Touch Payroll (STP) reporting. Maintain the general ledger, journals, and subsidiary accounts. Prepare and process electronic fund transfers (EFT), BPAY, cheques, and credit card payments. Perform regular supplier, and ledger reconciliations. Generate and issue customer invoices accurately and on time. Netsuite experience which is a must