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Financial Services Manager
2 months ago
KPMG's Finance Hub is a cloud-based solution that offers a range of services to support, supplement, and enhance our clients' finance functions and financial operations. As a Financial Services Manager, you will play a key role in delivering KPMG's outsourced bookkeeping, management accounting, and finance functions to private, mid-market, and family-owned businesses across various industries.
Your OpportunityWe are seeking a highly detail-oriented and organized individual to join our Finance Hub team in Hobart. As a Financial Services Manager, you will be responsible for supporting numerous clients, managing the Finance Hub team, and undertaking various tasks in a management accounting capacity.
Key Responsibilities- Play a key role across the full scope of client engagements, including regular client contact and collaboration with the KPMG tax and compliance team.
- Help manage the Finance Hub team to deliver KPMG's outsourced bookkeeping, management accounting, and finance functions.
- Assist the management team in mentoring less experienced team members and encouraging their continued professional development.
- End-to-end AP, including processing invoices, uploading vendor payments to banking files, remittance advices, and responding to vendor queries.
- Preparation of Business Activity Statements (BAS) and Instalment Activity Statements (IAS).
- Payroll processing, including expense reimbursement management.
- Preparation and review of complex payroll, including overtime, terminations, and redundancies.
- Preparation and lodgement of periodic superannuation and payroll tax reporting and payments.
- Preparation and review of superannuation guarantee charge statements.
- Periodic bank reconciliations.
- Credit card reconciliations.
- Assisting in preparing financial information/reports for accountants on a monthly and quarterly basis.
- Assist in preparation of General Ledger reconciliations.
- Assist clients in transitioning to automated cloud software systems.
- Preparation of monthly financial reports covering balance sheet, profit and loss, and cashflow statements.
- Support the client's finance function team.
- Managing the general ledger, including overseeing the monthly balance sheet, banking, and inter-company reconciliations.
- Completion of the monthly accruals, journals, fixed assets, and depreciation schedules.
- Assisting with budgeting, forecasting, and cashflow management.
- Detailed knowledge of GST and payroll tax.
- Strong attention to detail.
- Strong reconciliation skills.
- Ability to prioritize, organize, and complete work within established deadlines and maintain a consistent level of professionalism.
- Can-do attitude and ability to multi-task and thrive in a changing environment requiring flexibility and adjustment.
- Willingness to learn.
- Ability to work effectively in a busy team environment as well as work independently without supervision.
- Ability to review and delegate work effectively.
- Problem-solving abilities.
- Self-motivated, autonomous, reliable, and trustworthy.
- Experience in the provision of management accounting services and general awareness of financial accounting requirements such as income tax and compliance obligations.
- Excellent interpersonal, written, and verbal communication skills.
- MS Outlook and MS Office Suite (word, excel, etc.).
- Experience with technologies such as Xero, MYOB, Fathom, Castaway, Spotlight, Approvalmax, Ezzybills, HubDoc would be preferable but not essential.