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Arbour Southbank
About the role
Job position: Company Accountant
About Us:
We are a growing hospitality group operating five venues across Brisbane and the Moreton Bay region: Arbour Restaurant & Bar and Riverside Cafe & Bar in South Bank, CONA Cafe CBD in Brisbane CBD, CONA Cafe North Lakes in North Lakes, and Indian Moments in Mango Hill. Across the group, we employ approximately 65 people in kitchen, front-of-house, venue management and operational roles.
The Company Accountant will be a full-time, onsite member of the group’s internal finance function, providing centralised accounting support and financial oversight across all five venues. The role will support the directors and venue managers with timely financial information, while working closely with the group’s external accounting practice on year-end accounts, taxation and statutory lodgements.
Required Qualifications:
Required Experience:
Required Skills:
Proposed tasks:
1. Budgeting and accounting policy: Assist the directors to formulate annual budgets, rolling forecasts and practical accounting policies; maintain entity and venue reporting structures, account classifications and month-end timetables.
2. Financial statements and management reporting: Prepare monthly, quarterly and year-end financial statements and management packs for the directors, including entity- and venue-level profit and loss statements, balance sheets, cash-flow reports, budget variances and combined group-level management analysis
3. Financial investigations, audit support and special projects: Investigate material variances, irregular transactions, suspected control breaches and other financial issues; prepare findings for management; produce audit and year-end schedules; and support due diligence, financing or business acquisition work when required, in liaison with external accountants and advisers.
4. Operating cost and revenue analysis: Examine income and expenditure across all venues, including food and beverage margins, labor ratios, supplier spend, rent, delivery-platform commissions and other operating costs. Reconcile POS, EFTPOS, cash and third-party sales channels, payroll expenses and inter-entity balances or recharges.
5. Accuracy and statutory compliance: Review general-ledger integrity, balance-sheet reconciliations, journals, accruals, accounts payable and receivable, payroll interfaces and GST classifications. Perform internal checks to verify that management reports are accurate and that financial records comply with applicable Australian Accounting Standards and statutory record-keeping requirements.
6. Financial and taxation input: Advise management on the financial implications of business plans, pricing, staffing, venue performance and operating structures. Identify taxation or structuring issues requiring specialist advice and prepare the financial analysis needed by the external accountant or registered tax agent.
7. Tax and statutory workpapers: Prepare draft BAS/IAS, FBT, payroll tax and income-tax return workpapers, account reconciliations and supporting schedules for external review and lodgment. Track compliance deadlines and resolve source-data queries promptly.
8. Banking and funds management: Liaise with banks, merchant service providers and brokers regarding accounts, payment facilities, cash-management arrangements and approved funding matters; maintain short- and medium-term cash-flow forecasts across the entities.
9. Accounting systems: Introduce, maintain and improve cloud accounting and reporting systems, including integration of accounting, payroll, POS and other venue data; manage chart-of-account design, access settings, reporting workflows and documented procedures.
10. Internal controls: Design, maintain and test controls over purchasing, supplier setup, payment approvals, cash handling, banking, payroll changes, inventory-related financial records and inter-entity transactions; recommend and implement corrective action.
11. Capital investment and financial risk: Appraise cash flow, funding needs and financial risk for fit-outs, equipment purchases, lease commitments and new venue projects; monitor approved capital expenditure and complete post-investment performance reviews.
Proposed Annual Earnings for the position: $100,000 - $110,000 per year plus superannuation
Pay: $100,000.00 – $110,000.00 per year
Work Location: In person
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