Accountant: Operational Finance (Fixed-Term)
PPS
Job Description,
A member of the PPS Mutual Operations Finance team, reporting to the Team Manager: Operational Finance. This is an Operational Finance and Reporting role responsible for financial reporting, reconciliations, month-end processes, financial analysis, reinsurance and commission accounting, and ensuring accurate and timely management reporting.
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Requirements,
Education
- Bachelor's degree in Finance or Accounting (essential)
Experience
- 4-5 years’ experience within a financial services environment, preferably in the Insurance Industry
- Strong reconciliation experience (essential)
- Proficient in MS Office - Advanced Excel
Knowledge And Skills
- General knowledge of insurance legislation/rules (preferred)
- Exposure in dealing with members, brokers and advisors (preferred)
- Solid knowledge of basic and advanced accounting and financial principles and practices
- Excellent knowledge of accounting and reporting
- Excellent knowledge or risk analysis, budgeting and forecasting
- Working knowledge of financial software and MS Office
- Excellent communication and presentation skills
Competencies
- Analytical mind with aptitude in math
- Ability to make prudent business decisions
- Flexible and adaptable in changing and challenging circumstances
- Fast learner with the ability to rapidly assimilate and utilise new information and skills
- High level of accuracy and be able to operate efficiently under pressure
- Work non-standard business hours from time to time
- Must be self-motivated
- Time management skills
- Be a team player and take responsibility for own development initiative
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Duties and Responsibilities,
Accounting and Reporting
- Prepare general ledger reconciliations.
- Analyse gross premium report for reasonability and accuracy.
- Prepare debtors reconciliation and analysis.
- Assist with Internal/External Audit queries.
- Analyse financial results and investigate variances to support management decision-making.
- Prepare accurate monthly and quarterly management reporting packs and supporting commentary.
Month-end And Daily Processes
- Prepare month end journals.
- Prepare monthly Stamp Duty calculations.
- Assist with Credit Control process.
- Assist with Super Fund process.
- Prepare member statements.
Stakeholder management
- Liaison function with internal and external stakeholders.
- Provide finance-related support to the broader PPS Mutual teams.
- Build and maintain effective relationships with internal and external stakeholders.
- Support year-end processes, including audit requirements and query resolution.
- Manage escalations to management where required.
Governance and Compliance
- Ensure adherence to internal controls, processes, and service level agreements.
- Maintain accurate and well-organised financial documentation.
Additional Duties
- Assist with budgetary and forecast functions.
- Assume responsibility of accounting procedures.
- Respond to queries and investigations.
- Performing other duties assigned from time to time by the Team Manager.
- Perform other financial operational tasks and projects as identified
- Provide guidance and support to team members to ensure consistent performance and knowledge sharing.
- Identify opportunities for process improvement, automation and enhanced financial controls.