Mirvac's people are our most valuable asset. We are proud to have built a culture of inclusivity, innovation and collaboration, becoming a place where people genuinely want to work. Two recent accolades to reflect this are:
- #1 in AFR BOSS' Best Places to Work in Property, Construction & Transport 2022
- #1 Company Globally for Gender Equality in Equileap's 2022 & 2023 Review
- Flexible Work Arrangements
- $1000 of Mirvac Securities Annually
- Leadership and Professional Development Programs
- Generous Parental & Partner Leave Policy
- Unlimited Volunteer Leave and National Community Day
- Mirvac Pride Committee
Our opportunity
As Finance Manager, CMU, you will support and partner with the Commercial & Mixed Use development business to achieve financial performance goals, deliver on strategy and create an efficient and effective business.
This role is a 10-month fixed term contract.
Your responsibilities will include:
Business Partnering
- Early engagement with development teams through forecasting process, acting in partnership as commercial feasibility is developed, particularly in respect to transaction structuring and associated modelling.
- Partner with Development teams through AP / ACC to contribute to and review feasibility and papers from a finance perspective. Liaise with Group Finance / FP&A for relevant inputs.
- Support the Senior Commercial Finance Manager, C&MU Development to build a high performing team that works collaboratively with the business. Work closely with Finance Managers from other asset classes within C&MU (BTR / Industrial) to ensure consistent development of the team. Foster close collaboration with the Group Finance functions and Investments Finance Team.
- Lead scenario planning and analysis in conjunction with development teams to support informed decision making on an ad hoc basis.
- Drive the budgeting and forecasting process for commercial & mixed use projects by partnering with the development teams, reviewing key assumptions, modelling in Anaplan and reporting and providing insights at both a project and portfolio level.
- Work collaboratively with the Investments and FP&A finance teams to ensure the respective ownership interests are reported correctly.
- Responsible for reporting and analysis (forecast vs actuals) of commercial & mixed use profit & loss, balance sheet and cashflow information at both a project and portfolio level.
- Support Investor Relations in provision of information at statutory reporting periods (including investor presentations).
- Ad hoc analytics to support decision making as requested.
- Ensure robust and reliable controls are in place. Identify opportunities and implement solutions to improve financial management processes to ensure efficient, transparent and effective processes.
- Work collaboratively with development teams to ensure robust cashflow management and forecasting in place, building an improved focus on cashflow outcomes for the division. Ensure strong understanding of cash and capital impacts of all major decisions and investments and projects in delivery.
- Work with the broader C&MU finance team to ensure best practice is shared and leveraged across the team.
- Identify improvement opportunities, make recommendations, and help drive implementation of process changes.
To be successful, you will be CA/CPA qualified with prior finance experience in the property industry. You are a strong communicator with excellent stakeholder management skills with a clear capability to lead, motivate, manage and mentor finance team members. Well-developed analytical and problem solving skills are a must, in addition to strong technical accounting and structuring skills. You have strong Excel capability, good attention to detail and work to deadlines with a can-do attitude.
All of these attributes are preferred, if you think you may be the right fit for the role please still apply.