About the business.
We are a commercial refurbishment and architectural joinery company based in Adelaide's southern suburbs. With continuous and consistent 20-30% growth per year and a great pipeline of incoming work, we are growing our leadership team.
We are an energetic company with aspirations to be a major player in the Adelaide market. We believe in growing our talent from within and will support you on your career path within this organisation.
About the role.
This is an exciting opportunity to take control of financial operations in a growing company, using your knowledge and experience in finance to support the Director in executing the strategic vision.
The role is based in our head office, located in Seaford SA, on a Permanent Part-Time basis with a starting requirement of 24 hours per week. We can offer flexible work arrangements and a Hybrid role for the right candidate.
Skills and Qualifications
- Advanced Tertiary Qualifications in Accounting, Finance or Business-related disciplines.
- Minimum 5 years’ experience in a comparable role.
- Great communication skills with ability to articulate financial information to non-financial stakeholders.
- Proficient and demonstrated use of accounting, risk management and financial modelling systems and software.
- Strong and demonstrated experience in preparing and analysing Budgets, Long Term Financial Plans and Financial Statements.
- You will ensure accurate and timely financial reporting in accordance with accounting standards and regulatory requirements.
- Support long-term financial planning processes, providing insights into revenue growth, cost management, and investment decisions.
- Strong attention to detail, analytical, problem-solving and decision-making skills.
- Demonstrated high level time management skills and strong work ethic
- Advanced level skills in Microsoft Excel.
- Highly skilled in most everyday type of computer software
- Advanced user level knowledge of Xero Accounting System
- Experience in the construction industry is desirable.
Key Responsibilites
- Oversee financial operations including AR & AP, job cost accounting, payroll and cash flow management.
- Producing and monitoring company budgets.
- Develop and maintain a system for internal accounting controls and financial reporting.
- Prepare monthly, quarterly and annual financial statements
- Co-ordinate with external accountants for end of year returns, tax compliance and FBT reporting.
- Provide financial analysis as needed for capital investments, pricing decisions and contract negotiations.
- Forecast and analyse cash flow, cost controls, and expenses to guide business decisions.
- Conduct audits and provide information to external auditors.
Our company values:
- Quality is our passion.
- Extreme ownership.
- Efficient communication.
- Critical planning.
- Solution driven.
- People and culture focussed.
Why Work for Us?
At Croudace Constructs we give our team trust, autonomy and support so that they can perform at the highest level. We acknowledge and value the importance of workplace culture, hiring people that fit our company values and recognise individuals' contribution to team success across the business. You'll be joining a team full of positive, driven performers just like you.
Remuneration
We will offer a competitive salary package based on experience and qualifications.
Applicants are expected to submit a cover letter with their application addressing why they are the right fit for this role and why they want to work at Croudace Constructs.