Accountant (AU Client)
Lockforce
Makati City, Metro ManilaPosted 2 days agoJobStreet
Setup
On-site
Type
Full-time
Level
Mid-level
Salary
Not listed
Closes
Open
Skills mentioned
ExcelAccountingFinanceHRData EntryLegalBanking
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About the role
- Qualifications: Open to Filipino applicants who are currently based in the Philippines
- Accounting graduate (CPA is a plus)
- Proficient in MS Office applications (Excel, Word, PowerPoint, Outlook)
- Competent in using accounting software such as Xero, MYOB, Quickbooks, and Receipt Bank (is a plus)
- Good working knowledge of Australian Tax Laws and payroll (is a plus)
Understanding of Existing Statutory Regulations
Knowledgeable of Accepted Accounting Practices and Principles
- Willing to work onsite in Makati City
- Work Schedule: Mon-Fri | 7am to 4pmResponsibilities: Preparation of Individual Income Tax Returns
Preparation of Company Income Tax Returns
Preparation of Trust Income Tax Returns
Preparation of Partnership Income Tax Returns
- Preparation of SMSF annual financial statements and SMSF annual returns
- Processing and maintaining SMSF accounts using BGL Simple Fund 360Preparation of SMSF workpapers and supporting
schedule
- s for external audit
- Reviewing SMSF transactions, investments, contributions, pensions and member balances
- Liaising with SMSF auditors and responding to audit queries
Identifying potential SMSF compliance issues for referral to the senior accountant/directorPreparation of annual financial statements, including profit and loss statements and balance sheets
- Preparation of workpapers and tax reconciliations
- Review and reconciliation of general ledger accounts
- Reviewing bank statements and source documentation
- Entering and coding transactions into Xero
- Performing bank reconciliations
- Reviewing and reconciling GST, PAYG withholding, loans, wages, superannuation and other balance sheet accounts
- Preparation and/or review of BAS and IASIdentifying incorrect, unusual or unreconciled transactions and investigating these with the client
- Reviewing client files and identifying missing information or documentation
- Preparing client queries and send to Pauline
- Maintaining organised electronic workpapers and supporting documentation
- Preparing accounts and tax returns to a standard suitable for manager/director review
- Prepare check lists etc
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