Assistant Accountant
The Opportunity:
The position of Assistant Accountant is a core role within the Hermès Australia Finance Team.
The Assistant Accountant works in a collaborative environment, and is responsible for Accounts receivable, Reconciliation and Revenues reporting; whilst also supporting the Finance team with month-end and year-end closing processes.
Based in our Head Office, this is a fully on-site position requiring in-person attendance five days per week.
Key Responsibilities:
Revenue and Reconciliations:
* Perform revenue reconciliations including sales reconciliation, bank reconciliations, receivable reconciliation and customer financial flows reconciliations for all stores including E-commerce.
* Monitor aged receivables to ensure timely collection, and investigate discrepancies identified during reconciliation to mitigate financial risks on bad debts.
* Perform cash reconciliation and arrange cash collection / float deliveries for stores.
* Prepare recharge invoices for non-retail clients and corporate orders.
* Perform regular review on sales receipts to ensure the transactions are adhered to applicable regulatory and Hermès group requirements, prepare non-compliance transaction reports to store management.
* Generate sales reports in accordance with established reporting periods: daily, weekly, monthly, and annually.
* Manage and resolve enquiries from external stakeholders (TRS and Insurance), ensuring accurate and effective communication.
* Facilitate customer refunds and assist retail stores to resolve customer disputes.
* Provide assistance for retail network to investigate and resolve transaction-related issues on retail system (Cegid).
Ensure timely resolution and compliance with Hermès group policies and regulatory requirements.
Month-End & Year-End Tasks:
* Monitor sales transaction interfaces to ensure all data is accurately recorded in the accounting system (SAP), investigate and resolve any discrepancies or interface issues as required.
* Prepare monthly bank reconciliation status report, ensure all bank accounts are reconciled, and outstanding items are investigated and resolved in a timely manner.
* Perform monthly balance sheet reconciliations for accounts receivable and related accounts, investigating and resolving discrepancies in a timely manner.
* Prepare monthly turnover reports in Hermès group reporting tool (Magnitude)
* Prepare and communicate monthly sales advice to relevant stakeholders.
* Prepare and communicate monthly treasury compliance reports to group treasury team.
* Prepare monthly shrinkage report on till discrepancies, ensure adequate and accurate documentation.
* Reconcile GST and PAYG in accounting system, prepare and lodge monthly BAS in accordance with statutory requirement and company policies.
* Assist in annual external auditing processes.
Other Tasks:
* Support the coordination for accounting govern...
- Rate: Not Specified
- Location: Sydney, AU-NSW
- Type: Permanent
- Industry: Finance
- Recruiter: Hermes
- Contact: Not Specified
- Email: to view click here
- Reference: 300002273359776
- Posted: 2026-06-11 07:51:51 -
- View all Jobs from Hermes
More Jobs from Hermes
- Postbote für Pakete und Briefe (m/w/d)
- Architekt | Projektmanager (m/w/d) Entwurfsplanung - Construction Design
- Lunch Server Assistant
- Strategic Planning Lead
- Materials Characterization Scientist
- US Trade and Customs Lead
- Maintenance Technician Mechanic- Camden, NJ
- Production Superintendent- Plywood
- Machine Operator-First Shift
- R&D Engineer
- Sales Manager
- US Trade and Customs Lead
- Ironworker Helper
- Extrusion Operator
- Multi-Craft Maintenance Tech ($31.02+/hr)
- Taylor Lift Operator - Albany Lumber
- Pipe Foreman
- Quality Inspector II on 2nd Shift
- Maintenance Technician
- Assembly Lead