Preparing comprehensive month-end financial reports, including balance sheets, income statements, and cash flow statements, in compliance with Australian accounting standards. Performed end-of-month reconciliations for bank accounts, general ledgers, and intercompany transactions to ensure data accuracy and completeness. Managed accounts payable and receivable, ensuring timely processing of invoices and bills. Assisted in preparing and lodging BAS ( Business Activity Statements). Utilized accounting software (e.g., MYOB, Xero) for efficient financial tracking and reporting.
+ 1 year Xero software , 3 years US Accounting and Bookkeeping , +2 years Quickbooks , + 2.5 years Bookkeeping and Preparation of Financial Statements