Ruby Bui
Financial Accountant at Ducon Building Solutions- Claim this Profile
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Vietnamese Native or bilingual proficiency
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Spanish Elementary proficiency
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Japanese Elementary proficiency
Topline Score
Bio
Experience
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Ducon Building Solutions
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Australia
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Construction
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1 - 100 Employee
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Financial Accountant
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Oct 2017 - Present
• Preparing monthly financial reports. • Reporting on budget variance. • Preparing and lodging monthly payroll tax, superannuation, BAS/IAS and weekly PAYG. • Bank reconciliations. • Managing end-to-end payroll under different awards and EBA. • Management of employee records. • Preparing monthly financial reports. • Reporting on budget variance. • Preparing and lodging monthly payroll tax, superannuation, BAS/IAS and weekly PAYG. • Bank reconciliations. • Managing end-to-end payroll under different awards and EBA. • Management of employee records.
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The Knight - Owners Corporation Managers
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Australia
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Facilities Services
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1 - 100 Employee
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Account Manager
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Aug 2016 - Oct 2017
• Preparing financial reports on monthly/quarterly/bi-annually basis or as requested. • Management of daily bank reconciliations. • Closely monitoring and reporting on cash flow and arrears percentage. • Preparing monthly/quarterly BAS and annually Income Tax Returns. • Liaising with internal and external stakeholders including clients, government bodies and auditors. • Assisting in budget preparation. • Processing small payroll/superannuation. • Preparing financial reports on monthly/quarterly/bi-annually basis or as requested. • Management of daily bank reconciliations. • Closely monitoring and reporting on cash flow and arrears percentage. • Preparing monthly/quarterly BAS and annually Income Tax Returns. • Liaising with internal and external stakeholders including clients, government bodies and auditors. • Assisting in budget preparation. • Processing small payroll/superannuation.
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Engine Property Group
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Real Estate
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1 - 100 Employee
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Assistant Finance Manager
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Aug 2014 - Aug 2016
• On monthly/quarterly/bi-annually basis or as requested:◦ Reviewing balance sheet, P&L, detailed expenses, detailed revenue◦ Posting journals and reconciling accounts to prepare financial reports.• Management of daily and monthly bank reconciliations for over 100 accounts.• Closely monitoring and monthly reporting on cash flow.• Assisting with monthly/quarterly BAS reporting.• Liaising with the Australian Taxation Office on a regular basis to assist with GST audit.• Communicating with other stakeholders to resolve disputes.• Supporting accounts payable/accounts receivable when required.• Assisting in budget preparation.• Working closely with external auditors, on average 30 audits per annum• Preparing Income Tax Returns.• Processing small payroll/superannuation.
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Finance Officer
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Feb 2013 - Aug 2014
• Managing end-to-end accounts payable process including but not limited to:◦ Daily processing high volume of invoices.◦ Reconciling creditors’ accounts/suppliers’ statements.• Assisting with accounts receivables/banking.• Reviewing financials (balance sheet, P&L, detailed expenses, detailed revenue) as requested.
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Education
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La Trobe University
Bachelor of Commerce