Cash Management & Banking OfficerPart-time (4 days) | 3-Month Contract | $41–47 p/hour + super
Eastern Melbourne | 50% Hybrid Working Arrangement
We are looking for an experienced
Cash Management & Banking Officer
to join our client’s Finance team on a part-time (4 days) basis, commencing
24 November 2025.
In this role, you will play a key part in maintaining the integrity of the organisation’s
Banking Management and Bank Reconciliation Modules, ensuring the accuracy and efficiency of all reconciliation processes. You’ll also manage the organisation’s investment activities, including
cash flow preparation, analysis, and investment recommendations, while providing valuable support during
month-end and year-end financial processing.
Key responsibilities include:
- Maintaining the integrity of Council’s banking and reconciliation systems
- Liaising with stakeholders to complete reconciliations efficiently and accurately
- Managing investments and preparing cash flow analysis and recommendations
- Reconciling balance sheet accounts and supporting month-end and year-end processing
- Preparing and lodging the annual Unclaimed Monies Return, and assisting the Financial Accounting team as required
About You: To succeed in this role, you will bring:
- A tertiary qualification in a relevant field
- 2–3 years’ experience in a similar position
- Experience within Local Government, Public Sector, Healthcare, or Education environments
- Proficiency in TechnologyOne/CiAnywhere/FinanceOne
system
This position offers the flexibility of a
50% hybrid working arrangement, allowing you to balance professional growth with work-life balance while contributing to a high-performing finance team.
If this sounds like the right opportunity for you, please contact
Amanda Li
on
03 8535 3111
or via
amanda@publicsectorpeople.com.au
for a confidential discussion.
Only shortlisted candidates will be contacted.
#SCR-amanda-li