Full Job Description Location: Macquarie Park NSW Salary Package: $155,000 - $165,000 super Role Highlights: This role sits within a centralised Business Services function and is responsible for delivering accurate financial accounting, reporting, and reconciliation support across multiple divisions. You will play a key role in month-end processes, balance sheet integrity, and stakeholder engagement across the business. Responsibilities Prepare and own balance sheet reconciliations, ensuring discrepancies are investigated and resolved Maintain the integrity of the general ledger, including journals, adjustments and supporting documentation Coordinate intercompany and interdivisional balances and ensure accurate reporting Deliver month-end accounting activities, including preparation of reporting packs for management Review tax-sensitive accounts in line with reporting and compliance requirements Partner with divisional stakeholders to provide financial support and resolve accounting issues Candidate Profile CA/CPA qualified with a degree in accounting or similar Minimum 3 years’ experience in financial accounting Strong experience with balance sheet reconciliations and month-end processes Exposure to SAP or similar ERP systems Strong analytical skills with the ability to investigate and resolve issues Excellent communication skills and ability to build relationships across the business Culture & Benefits Large, well-established organisation with strong market presence Collaborative and high-performing finance team Hybrid working environment with flexibility How to apply: Click the apply button or send your CV to