Managed daily financial transactions (sales, purchases, receipts, payments) and maintained accurate records in accounting software (Xero).
Performed monthly bank reconciliations and managed accounts payable/receivable, ensuring timely payments and collections.
Processed payroll, including wages, superannuation, and tax withholdings, ensuring compliance with Australian tax laws.
Prepared and lodged Business Activity Statements (BAS) with the ATO, ensuring GST compliance.
Generated financial reports (profit & loss, balance sheets, cash flow) and assisted in year-end financial preparation.
Streamlined financial processes, improving efficiency and reducing errors