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WEX Inc.

Financial Accountant

Posted 5 Days Ago
Be an Early Applicant
In-Office
Melbourne, Victoria, AUS
Mid level
In-Office
Melbourne, Victoria, AUS
Mid level
Perform month-end close and reporting, prepare journals and reconciliations, manage balance sheet integrity, handle intercompany, treasury and fixed asset accounting, support statutory reporting and audits, assist AP/AR and cash management, collaborate with stakeholders, and drive process improvements and automation within finance.
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Role purpose

This role provides financial accounting support across the multiple lines of business, including month-end close, balance sheet management, intercompany accounting, and assisting with annual statutory audit , and selected Accounts Payable, Receivable and cash management activities. The Financial Accountant helps ensure financial data is recorded, analyzed and reported accurately in accordance with local statutory requirements, US GAAP and internal company policies.

Role contribution

This role will:

  • Support the timely and accurate completion of month-end close and reporting deliverables across multiple entities 

  • Prepare journals, reconciliations, analysis and reporting packs that support reliable financial results and balance sheet integrity

  • Assist with statutory reporting, audit queries, regulatory and compliance reporting, and finance control requirements

  • Support intercompany, treasury-related, fixed asset, Accounts Payable, Accounts Receivable and cash management processes as required

  • Partner with internal stakeholders, including Finance, FP&A, Tax, Treasury, Payroll, Operations, IT Operations, Procurement and external auditors

  • Contribute to process improvement, documentation, system enhancement and responsible use of automation and AI-enabled tools within Finance

Role responsibilities

This role will be responsible for:

Month-End Close & Reporting

  • Prepare month-end journal entries, including accruals, prepayments, reclassifications, payroll entries, lease accounting, project accounting, intercompany recharges, bank entries and other month-end adjustments.

  • Support the preparation of monthly and quarterly reporting, including reporting packs, flux analysis, cash flow support and consolidation files.

  • Ensure accounting entries are complete, accurate, properly supported and recorded in accordance with applicable accounting standards and internal policies.

  • Upload or support upload of general ledger balances to reporting systems, including HFM flows, validation checks and exception reporting where required.

  • Prepare or support selected operational and management reporting, including daily or monthly reporting linked to payment, securitization or business activity where required.

Balance Sheet Integrity & General Ledger Control

  • Prepare balance sheet reconciliations by corporate deadlines, ensuring reconciliations are accurate, complete, well-supported and appropriately reviewed.

  • Investigate reconciling items, aged balances and unusual movements, and drive timely resolution of outstanding items.

  • Support continuous improvement in reconciliation quality, standardization, documentation and control effectiveness.

Intercompany, Banking and  Fixed Assets 

Manage intercompany accounting activities, including journal preparation, reconciliations, intercompany funding entries, recharges and resolution of differences across entities.

  • Record, reconcile and explain treasury-related transactions, including interest, debt, cash pooling, FX revaluation, bank fees and related balance sheet movements.

  • Maintain fixed asset registers, including capitalisation, depreciation, disposals and monitoring of capital expenditure.

Statutory, Regulatory & Audit Support

  • Prepare or support statutory financial statements for Australian and international entities in accordance with relevant accounting frameworks and reporting requirements.

  • Assist with internal and external audit processes, including preparation of audit schedules, supporting papers, process walkthroughs and responses to auditor queries.

Other 

  • Support team members by sharing process knowledge and assisting with troubleshooting across month-end close, reconciliations, Accounts Payable, Accounts Receivable and reporting processes.

  • Participate in new product, finance transformation and other ad hoc projects as required.

  • Identify manual bottlenecks and process improvement opportunities. Assist in creation and deployment automated workflows using AI tools authorised by WEX

Role qualifications/experience level

The ideal candidate would possess:

  • Degree qualified in Accounting, Finance or Commerce, with CA/CPA qualification completed or in progress

  • 3 or more years of financial accounting experience, preferably in financial services, fintech, payments, multinational or medium-to-large organisation environments

  • Experience with ERP and reporting systems; NetSuite, Workday or HFM experience preferred but not essential

  • Advanced Microsoft Excel skills, including data manipulation, pivot tables and complex formulas

  • Interest in process improvement, AI, automation, data analytics and practical use of technology to improve finance processes

  • Strong attention to detail, problem-solving skills, time management and ability to manage competing deadlines

  • Effective written and verbal communication skills, with the ability to liaise with internal and external stakeholders

  • Ability to work autonomously in a hybrid working environment, with regular attendance at the Melbourne office as required

  • Must pass a successful background check

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