My client is a dynamic and innovative industry leader, they strive for excellence in all aspects of our business. As we continue to grow and expand, we are seeking a talented Finance Manager to join our team and drive financial success.
Job Description:
As a Finance Manager, you will play a crucial role in managing and optimising our financial operations. You will be responsible for overseeing all financial activities, including budgeting, forecasting and analysis. This role will also play a pivotal role in the treasury function. Your strategic insights and financial expertise will be instrumental in guiding key business decisions and driving sustainable growth.
Responsibilities:
Cash Flow Management and Forecasting: Implementing strategies for effective cash flow management and forecasting, including maintaining a rolling 13-week forecast to anticipate liquidity needs and optimise financial resources.
Treasury Management: Overseeing treasury functions and ensuring efficient utilisation of available funds and adherence to financing agreements.
Contribution to End-of-Month (EOM) Close & Reconciliation Activities: Playing a key role in the month-end close process, including reconciliation activities and preparation of the Monthly Board Pack submissions to provide accurate and timely financial information to stakeholders.
Accounts Payable, Accounts Receivable, Invoicing, and Payroll Management: Managing and overseeing the entire accounts payable and receivable process, including invoicing and payroll management. This includes establishing approval processes, standard operating procedures, and policies while ensuring compliance monitoring.
Statutory Remittance and Compliance: Ensuring timely and accurate remittance of BAS/GST, Payroll Tax, Superannuation, and other statutory obligations. Maintain compliance with statutory reporting requirements and staying abreast of changes in regulations.
Preparation of Supporting Documents: Generating schedules and other supporting documents for external professionals, such as auditors and tax advisors, to facilitate accurate financial reporting and compliance.
Risk Management, Statutory Compliance, and Fiscal Policy: Maintaining company position on risk management, statutory compliance, and fiscal policy by implementing effective controls, policies, and procedures to mitigate risks and ensure regulatory compliance.
Capital Expenditure & Fixed Asset Management: Managing capital expenditure projects and overseeing fixed asset management processes to optimise asset utilisation, control costs, and ensure accurate recording and reporting of fixed assets.
Direct Support to GM – Finance & CFO: Providing direct support to the General Manager of Finance and Chief Financial Officer by assisting with ad-hoc duties and special projects as required, demonstrating flexibility and readiness to contribute to the overall success of the finance team and the organisation.
Qualifications:
- Proven ability to drive and influence positive outcomes in working capital management
- Bachelor's degree in Finance, Accounting, or related field; CA or CPA preferred.
- 8-10 years of progressive experience in finance or accounting roles, with 2-4 years in a managerial capacity.
- Strong analytical skills and proficiency in financial modeling and analysis.
- Solid understanding of financial principles and practices.
- Excellent communication and interpersonal skills, with the ability to effectively collaborate with stakeholders at all levels.
- Proven leadership abilities, with a track record of successfully managing teams and driving results.
- Ability to thrive in a fast-paced, dynamic environment and adapt to changing priorities.
- Advanced proficiency in Microsoft Excel and financial management software.
How to Apply:
If you are a motivated finance professional looking for an exciting opportunity to make a meaningful impact, we want to hear from you, please submit your resume!