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Corporate Bookkeeper; AU Account

Job in Manhattan, Riley County, Kansas, 66506, USA
Listing for: DBA Advisory
Full Time position
Listed on 2026-06-21
Job specializations:
  • Accounting
    Accounts Receivable/ Collections, Accounting Assistant, Bookkeeper/ Accounting Clerk, Accounting & Finance
  • Finance & Banking
    Accounts Receivable/ Collections, Bookkeeper/ Accounting Clerk, Accounting & Finance
Salary/Wage Range or Industry Benchmark: 60000 USD Yearly USD 60000.00 YEAR
Job Description & How to Apply Below
Position: Corporate Bookkeeper (AU Account)

Ready to build your career in Australian accounting? We are seeking a motivated and detail-oriented Corporate Bookkeeper to join our expanding team. If you have a passion for numbers, strong bookkeeping skills, and a commitment to accuracy, this could be the perfect opportunity for you.

General Ledger and Reporting
  • Process bank transactions daily and reconcile all client bank accounts monthly
  • Process corporate credit card transactions on a daily basis and reconcile all client’s corporate credit card accounts on a weekly basis
  • Reconcile certain balance sheet accounts on monthly basis
  • Review and reconcile certain profit and loss accounts on a recurring basis or upon request
  • Process general journal entries, including month-end accruals and prepayments
  • Process and reconcile related party transactions and balances
  • Maintain the fixed asset register
  • Assist with the preparation of monthly and ad-hoc financial reports and analysis
Accounts Receivable
  • Maintain an accurate, complete and consistent customer master file
  • Maintain property vendor agreements and invoicing information
  • Generate and issue invoices to customers in a timely manner, including the set up and maintenance of recurring invoices and direct debits
  • Primary client’s contact for customers in relation to investigating and resolving invoice related queries
  • Investigate and resolve receipt discrepancies
  • Work with designated internal client’s stakeholders to effectively manage customers and assist in the collection funds, including active follow-up of overdue amounts
  • Generate and manage the debtors ageing and report to relevant client’s stakeholders on a regular basis, including the preparation of thorough and accurate commentary about the status of overdue amounts and expected receipt dates
  • Process credit notes and adjustments
  • Prepare and lodge bank deposits
Accounts Payable
  • Maintain an accurate, complete and consistent supplier master file
  • Maintain referral partner agreements and invoicing information
  • Process supplier invoices and employee expense reimbursements in a timely manner and code in accordance with client’s guidelines
  • Primary client’s contact for suppliers in relation to investigating and resolving invoice related queries
  • Research and resolve payment discrepancies
  • Work with designated internal client’s stakeholders in the effective management of suppliers
  • Generate and manage the creditors ageing and report to relevant client’s stakeholders on a regular basis, including the preparation of thorough and accurate commentary about the status of overdue amounts and expected payment dates
  • Process credit notes and adjustments
  • Prepare electronic payment files and cheque runs
Taxes
  • Assist with the preparation of Fringe Benefits Tax and Income Tax Returns
Trust Accounting
  • Process all accounting trust bank accounts daily, ensuring tax refunds are receipted accurately and funds are transferred to clients in a timely manner
  • Follow client’s policy in relation to processing tax return transactions
  • Prepare a monthly reconciliation for the accounting trust bank account
  • Ensure all trust accounting records comply with all statutory requirements
Property Trust Accounting
  • Provide back-up support to the Trust Accountant with the accounting for client’s property trust accounts including:
    • The reporting and receipting of rents, tenant bonds, rent disbursements, invoice processing, direct debit transactions, other associated property trust account transactions daily
    • The monthly and annual close of the trust accounts
    • The reporting and receipting of property deposits and the transfer of funds to vendor solicitors in a timely manner
    • Reconcile all property trust bank accounts daily
    • Ensure all trust accounting records comply with all statutory requirements
    • Proficient in the use and application of the Console property management / trust accounting system
Business Processes, Procedures and Systems
  • Identify, report and assist with the implementation of process, procedural and system improvements
Administration
  • Liaise with and respond in a timely manner to client’s external service providers, including financial institutions, tax advisors and auditors
  • Ensure the filing systems are maintained and kept up to date
  • As…
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