The junior finance analyst is responsible for collection, organization, interpretation, analysis, recording, documentation and dissemination of simple to mid-complex financial data sets. The candidate will support the accounts payable (AP), cash allocation and GL accounting processes with a strong focus on accuracy, timeliness, customer service and the ability to work in a fast paced environment. The candidate will be part of the Australia Finance team.
- Monitor and complete new vendor setup including call-backs for bank detail verification
- Assist in the inter-company reconciliation and settlements.
- Execute LPAN (premium) payments.
- Perform claims payments in Workday.
- Process internal payment memos and external supplier invoices by uploading, coding, and liasing with management and business requesters to get electronic authorisation for invoices.
- Perform allocation or application of cash receipts to written premium.
- Liaise with internal underwriting operations and finance to resolve inconsistencies/gaps between premium received and booked premium.
- Assist in quarter close process and annual audit.
- Post accounting journals with guidance from the senior members of the team.
Perform simple to mid-complex financial analysis, reconciliations, generate reports.