Financial Planning and Strategy: Develop and execute the company's financial strategy, forecasting, and budgeting processes. Provide insights and recommendations to optimize financial performance and growth.
• Financial Reporting: Oversee the preparation of accurate and timely financial statements, reports, and forecasts for internal and external stakeholders. Ensure compliance with accounting standards and regulations.
• Risk Management: Identify and mitigate financial risks, including market, credit, operational, and liquidity risks. Develop and implement strategies to safeguard company assets and investments.
• Capital Management: Manage capital structure, including equity, debt, and cash management. Evaluate and execute financing options, such as debt issuance, equity fundraising, and mergers/acquisitions.
• Financial Analysis: Conduct comprehensive financial analysis, including variance analysis, profitability analysis, and return on investment (ROI) assessments. Provide actionable insights to support strategic decision-making.
• Treasury Management: Manage cash flow, liquidity, and investments to optimize returns while maintaining financial stability. Develop and implement cash management policies and procedures.
• Tax Planning and Compliance: Oversee tax planning strategies to minimize tax liabilities while ensuring compliance with tax laws and regulations. Coordinate with external tax advisors and authorities as necessary.
• Financial Controls: Establish and maintain internal controls to safeguard assets, ensure accuracy of financial data, and prevent fraud. Monitor compliance with policies, procedures, and regulatory requirements.
• Investor Relations: Serve as the primary liaison with investors, analysts, and other stakeholders. Communicate financial performance, strategies, and key developments effectively to the investment community.
• Team Leadership: Build and lead a high-performing finance team. Provide mentorship, guidance, and professional development opportunities to team members. Foster a culture of collaboration, innovation, and accountability.
Key Performances:
• Profitability: Gross profit margin, operating profit margin, net profit margin.
• Revenue Growth: Year-over-year revenue growth rate.
• Cost Management: Cost-to-income ratio, cost reduction initiatives.
• Cash Flow: Operating cash flow, free cash flow, cash conversion cycle.
• Budget Variance: Variance between actual and budgeted financial performance.
• Forecast Accuracy: Accuracy of financial forecasts compared to actual results.
• Financial Modeling: Accuracy and effectiveness of financial models in predicting outcomes.
• Risk Exposure: Identification and mitigation of financial risks such as market risk, credit risk, and operational risk.
• Compliance: Compliance with financial regulations, accounting standards, and internal controls.
• Insurance Coverage: Adequacy of insurance coverage against potential risks.
• Capital Structure: Debt-to-equity ratio, leverage ratio.
• Cost of Capital: Weighted average cost of capital (WACC).
• Capital Allocation: Efficiency of capital allocation decisions, return on investment (ROI).
• Analyst Coverage: Number of analysts covering the company and their recommendations.
• Shareholder Value: Total shareholder return (TSR), dividends paid, share buybacks.
• Financial Efficiency: Return on assets (ROA), return on equity (ROE).
• Working Capital Management: Days sales outstanding (DSO), days payable outstanding (DPO), inventory turnover ratio.
• Cost Efficiency: Cost per unit of production, cost per customer acquisition.
Strengths:
• Industry-specific knowledge and experience may be required, particularly for highly regulated sectors such as finance, construction and or manufacturing.
• Familiarity with emerging trends, technologies, and best practices in finance, such as data analytics, artificial intelligence, and blockchain
• Excellent time management skills.
• Great listening and professional communication skills.
• Self-motivated with a strong sense of accountability and ability to take ownership of tasks.
• Multitasker that can work independently.
• Desire and ability to learn new skills and assume new responsibilities.
• Demonstrate drive to achieve positive outcomes.
• Preferred experience with Netsuite
• Expertise in Excel
Please send your resume to Vicky Malliaros *****@tuffturf.com.au Subject heading “Private and Confidential”