Responsibilities
- Record standard journal entries and accounting transactions with supervision.
- Help process payments and manage associated documentation.
- Contribute to reconciling bank statements, balance sheets, and general ledger accounts.
- Support month-end closing procedures by preparing schedules and conducting preliminary variance analysis.
- Assist in accounting tasks such as accruals, prepayments, fixed assets, payroll, accounts payable, accounts receivable, intercompany transactions, cash tracking, and other general ledger duties as needed.
- Keep financial records accurate and ensure proper supporting documents are maintained.
- Adhere to company accounting policies, internal controls, and procedural guidelines.
- Carry out fundamental data validation to detect discrepancies, gaps, or anomalies.
- Promptly report any issues or inconsistencies to senior staff members.
- Support compliance initiatives when required.
- Respond to audit inquiries by organizing documentation and gathering evidence.
- Collaborate with finance teams in Australia, Vietnam, shared service units, and other finance personnel.
- Gain proficiency in company financial systems, accounting workflows, closing timelines, and control standards.
- Provide support for unplanned reporting, financial analysis, and process enhancement projects.
- Develop accounting expertise through hands-on experience and structured learning.
- Assist in transitioning accounting responsibilities for additional APAC regions as necessary.
Work Arrangement
Remote (Country) — Vietnam
Other
- Role initially focuses on Australian accounting activities
- Over time, may support other APAC entities
- Supports a Vietnam-based Regional Accounting Hub