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Work Background
Acquisiton Accountant
Retail Food GroupAcquisiton Accountant
Oct. 2024 - Jul. 2025
Accounting Manager
Retail Food GroupAccounting Manager
Mar. 2023 - Jan. 2024
Senior Financial Accountant
Retail Food GroupSenior Financial Accountant
Apr. 2022 - Mar. 2023Gold Coast, Queensland, Australia
Financial Accountant
Retail Food GroupFinancial Accountant
Oct. 2020 - Mar. 2022Gold Coast, Queensland, Australia
Business Accountant
Ministry for Primary Industries (MPI)Business Accountant
Jan. 2018 - Sep. 2019Wellington & Wairarapa, New Zealand• Managed monthly, quarterly and yearly financial reporting for a budget worth approximately $100 million- spread across 6 directors and 30 cost centre managers. • First point of contact for any finance related questions in regards to this budget. • Process monthly accounts, journal entries, variance analysis, forecasting. • Prepare and finalise yearly budget. • Prepared management reports and presented to directors and managers at monthly meetings to support decision-making. • Working one on one and in groups with managers to help them understand their budgets, forecasts, financial responsibilities and how to use the finance system. • Provide forecast updates to the governance board for the fruit fly response.
Management Accountant
AMV BBDOManagement Accountant
Dec. 2016 - May. 2017London, United Kingdom• Processed prepayments, accruals and monthly payments. • Reconciled intercompany transactions, maintained fixed asset register and prepared recharge invoices. • Trained staff from India who were to take over my role. • Worked with various companies within the group who were located internationally.
Project Accountant
Maxwell StampProject Accountant
Jun. 2015 - Jun. 2016• Responsible for projects based in countries such as Ethiopia, Laos and Kazakhstan ranging in value from $50,000 to $10 million. • Working on an average of 4 projects simultaneously. • Provide monthly financial updates to 3 project managers. • Process monthly field accounts, prepare monthly reports and enter journals. • Worked with various clients and donors including the World Bank, Department of International Development and the European Commission. • Working with the internationally based project support staff monthly to ensure data received is complete and to a high standard. • Invoicing for progress payments. • Assist with year-end duties including the audit.
Accounts Contractor
Tainui Group Holdings LimitedAccounts Contractor
Sep. 2014 - Mar. 2015Hamilton, Waikato, New Zealand• Accounts payable and receivable invoice processing for the group • Process weekly payment batches • Debtor and creditor administration
Contractor
Waikato Raupatu River TrustContractor
Apr. 2014 - Aug. 2014Hamilton, Waikato, New Zealand• Participate in strategy workshops held for tribal members, focusing on improving the financial literacy of attendees. • Presented information on financial planning and management at workshops. • Assist in the preparation of a business plan, focusing on the finance section.
Graduate Accountant
Tainui Group Holdings LimitedGraduate Accountant
Nov. 2011 - Nov. 2013Hamilton, Waikato, New Zealand• Provide financial and management accounting support to various business units worth up to $260 million. • Process monthly accounts, journal entries, cash flow, forecasting, reconciliations, financial reports, update fixed asset register and GST returns for 4 of TGH business units. • Completed year-end tasks for respective business units, as well as assisting with the preparation of financial statements and the year-end audit. • Perform periodic assignments including financial reporting and debtor/creditor administration. • Trained new graduates and staff based in other business units on how to use the finance system and the company’s processes.
Audit Internship
PwCAudit Internship
Nov. 2010 - Feb. 2011Hamilton, Waikato, New Zealand• Auditing of client information, documenting and interacting with clients. • Reconciling invoices, petty cash and bank transactions. • Evaluate whether policy and procedures are adhered to and there are no conflicting duties. • Materiality testing. • Participated in client stock takes to verify assets. • Cross check financial reports and notes.
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