Finance Officer – Treasury & Banking Local Government We are seeking a detail-focused Finance Officer to support Council’s treasury and banking operations and contribute to strong financial governance. Key Responsibilities: Maintain the accuracy and integrity of Council’s cash balances Complete daily and monthly bank reconciliations Prepare daily cash forecasts and arrange inter-account transfers Process and authorise EFT payments for accounts payable and payroll Manage Council’s online banking transactions and distribute agency files Perform monthly general ledger reconciliations Provide support to the Financial Reporting team to meet key deadlines Provide relief coverage within the finance team as required This role suits someone who is organised, accurate, and comfortable working within structured financial controls in a local government environment. If you feel this role aligns with your skillset and interests, please click Apply . For a confidential discussion, contact Hulu or Steve on 07 4447 1400 .