Bree Melody La Hogue

Accounts / EA at Pacifico Minerals Ltd
  • Claim this Profile
Contact Information
us****@****om
(386) 825-5501
Location
Greater Perth Area, AU

Topline Score

Topline score feature will be out soon.

Bio

Generated by
Topline AI

You need to have a working account to view this content.
You need to have a working account to view this content.

Experience

    • Australia
    • Mining
    • 1 - 100 Employee
    • Accounts / EA
      • Feb 2018 - Present

      • Accounts Receivable / Accounts Payable;• Payroll and Employee Reimbursements;• Weekly Cash Positions; • Superannuation; • BAS and PAYG; • Month End Reconciliations and Reporting; • Cashflow Forecasts;• Joint Venture Partner Reporting;• Tenement Reporting (Form 5 Reporting Under Mining Act 1978, Mineral Title Expenditure Reports for NT Government etc.);• Assist with Budgets, Audit Requirements, Investor Relations; • Company Insurance Reviews / Renewals; • Website Administrator; • Travel Co-ordination; and• Assist Managing Director, Company Secretary, Board, and Management.

    • Australia
    • Mining
    • 1 - 100 Employee
    • Administration Manager
      • Apr 2015 - Feb 2018

      • Research; • Develop and Maintain Databases; • Website and Document Control Administrator; • Event and Travel Co-ordination; • Provide Support to Engineering & Marketing Manager (Pricing Reports, Market Research, Charting etc.); • Provide Support to Accounts & Payroll Co-Ordinator; and• Support Managing Director, Board and Management.

    • Australia
    • Oil and Gas
    • Accounts / EA
      • Aug 2014 - Aug 2016

      • Develop and Maintain Databases; • Website Administrator; • Accounts Receivable / Payable; • Payroll; • Superannuation; • Cash Flow Reconciliations; AUD / USD / GBP/ Euro Bank Account Reconciliations (Including FX Conversion and Adjustments); • BAS and PAYG; • VAT Returns (HMRC Portal); • Assist with Audit Requirements; • Travel Co-ordination; and• Support Managing Director and Board.

    • Procurement and Accounts Assistant
      • Jun 2012 - Aug 2014

      • Cash Positions; • Credit Card, Bank and Petty Cash Reconciliations; • Maintain Asset Register (SunSystems); • Open New Finance Periods (Including Setting Currency Conversion Rates); • Create AFE’s, GL Accounts, Cost Codes, Business Rules and Approval Paths in iPOS and SunSystems; • Process Purchase Orders, Purges and Goods Receipts; • iPOS Maintenance and Facilitation (Including Providing Support and Training for End Users); Correspondence with ATO (i.e. Organising Entity Grouping for GST Purposes);• Assist with Audit Requirements; • Document Control Administrator; • Maintain Inventory, Assets, Catalogue Items, Disposals, Consumptions, Material Transfers, and Road Manifests (DIPS);• Creation and Maintenance of Well Files (Daily Drilling Reports etc.); • Implement and Maintain Travel Processes and Policies;• Co-ordinate Travel (Including Third-Party Contractors – Charter Planes etc.); and• Support Operations Department.

Education

  • Murdoch University
    Accounting and Business Law, Bachelor of Business
    -

Community

You need to have a working account to view this content. Click here to join now