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Australia and NZ jobs › Australia › Assistant Accountant

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Assistant Accountant

St Vincent's Hospital Melbourne · VIC - Melbourne, CBD & Inner Suburbs, Australia · Hybrid

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PayNot posted
LevelStaff
Work modeHybrid
LanguageNot stated
VisaNot stated
Asks forNo US skills mentioned
PostedOct 5, 2026
Found by usOct 5, 2026
Last checkedOct 5, 2026

Quick look

Prepare bank and balance sheet reconciliations, support month end tasks and statutory returns for a hospital finance team.

A few years in

Worth knowing: Minimum two days per week in office; role uses BlackLine and D365

From the posting

Job Description: • Convenient Fitzroy location • Challenging and rewarding work environment • Flexible working arrangements • Work for one of Australia’s leading hospital groups • Permanent, Part Time (24 hours per week) Better and fairer care. Always. St Vincent's has been a leader in Australia's health and aged care landscape for more than 165 years. Since our founders, the Sisters of Charity, opened our first hospital in 1857, our services and people have been behind some of Australia's most important medical breakthroughs. About the Role This Assistant Accountant role will be integral in supporting the organisation’s accounting obligations by completing the bank reconciliations and supporting the financial accounting team to ensure strong financial governance is maintained. The position will work closely with the Financial Accounting team to provide accounting support for SVHMs financial objectives, whilst ensuring strong financial governance. The role will be completed in accordance with policies and procedures, with a focus on internal controls, daily efficiencies and continuous improvement. Your Contribution Complete the bank reconciliation process in Blackline and D365, for multiple bank accounts Complete yearly franking credits return, FBT return, workcover return, special fund interest allocation. Actively contribute to building efficiencies and streamlining processes across the Financial Accounting team responsibilities. Work closely with business stakeholders to complete financial accounting month end tasks and ensure processing is accurate and finalised in a timely manner in line with day 3 close off. Complete assigned monthly balance sheet reconciliations Participate and contribute to regular meetings within the Finance team Drive continuous improvement of organisational finance processes, procedures, systems and reporting, including but not limited to the bank reconciliation process.

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