In this role, you’ll bring your technical smarts and accounting know-how to support the reconciliation of financial systems with enterprise data warehouses. You’ll be part of a well-established team that’s navigating a complex financial environment, so if you love solving puzzles and making data make sense, this one's for you.
What You’ll Be Doing
- Reconciling general ledger and sub-ledger accounts across multiple systems
- Interpreting and validating financial data from both operational and financial sources
- Investigating and resolving data discrepancies using your accounting insight
- Preparing journal entries, accruals, and adjustments
- Supporting month-end and year-end close
- Working with Oracle and Big Data tools to ensure robust financial accuracy
What You’ll Bring
- A solid grounding in financial and management accounting
- Hands-on experience with ERP systems (especially Oracle) and tools like Power BI
- Strong analytical skills and serious attention to detail
- Confidence working with large datasets and complex system landscapes
- The ability to untangle complex financial structures and operational dependencies
- Real-world accounting experience in high-complexity, high-impact settings
Why This Role?
This is more than just month-end work, it’s a chance to flex both sides of your brain across the structured logic of accounting and the adaptive thinking needed for data systems. If you’re looking for a role where financial accuracy, system integration, and impact truly intersect, we’d love to hear from you.
For more information, please contact me on peter.sewell@beyond.co.nz or call me on +64 21 242 9027