Description:
Key responsibilities include but are not limited to:
- Review monthly balance sheet files for the Group
- Producing monthly internal finance management reports in alignment to group finance needs as required
- Review (and where necessary posting) of all accounting transactions for the business.
- Approve and organise payment of all business-related expense payments
- Prepare and facilitate financial and management reports to business stakeholders including Boards, Leadership Committees, and clients (as required)
- Monitor and maintain internal controls as they relate to financial operations.
- Ensure business finances are properly administered, monitored and approved, including credit control, accurate and timely preparation of fee / revenue invoices, and vendor disbursements.
- Ensure and facilitate accurate and timely closure of books / ledgers each month.
- Prepare and accurately account for monthly tax. Ensure monthly Business Activity Statement, annual Fringe Benefit Tax, annual Income Tax and annual Payroll Tax reconciliation lodgements.
- Assist Head of finance with corporate strategy and business planning analysis, financial performance forecasting, scenario modelling, expense and product profitability analysis.
- Work with team and product leaders on product / service profitability models
Requirements:
- CA/CPA
- Experience managing a small team
- Available at short notice
- Excellent presentation and communication skills
- At least 5 years experience in a similar role and capacity
Conditions:
- Competitive remuneration
- Immediate start
- Hybrid working
- Outstanding CBD offices
14 Jan 2024;
from:
michaelpage.com.au