Darwin City, Northern Territory, Australia
Supported the Finance team in delivering accurate and efficient financial operations across the organisation. Responsibilities included processing accounts payable and receivable transactions, supplier invoices, payments, expense claims, and reconciliations of bank, supplier, and general ledger accounts. Assisted with payroll, month-end and year-end reporting, journal entries, budgeting, and audit preparation while maintaining compliance with organisational policies and Australian accounting standards. Collaborated with internal departments and external stakeholders to resolve financial enquiries, improve financial processes, and ensure the integrity and accuracy of financial records.