About us
Tactix-Sener is a result of a recent partnership between Tactix Group – one of Australia’s leading Transport Infrastructure advisory firms – and Sener, one of Spain’s biggest private engineering and technology groups. This powerful combination makes Tactix-Sener the most comprehensive Infrastructure advisory and delivery firm in Australia, with a portfolio of major public and private projects around the nation and globally.
With six offices across Australia, and head offices in Sydney and Spain, there are plenty of opportunities for learning about the industry from those at the top of their game.
Why Work for Us
At Tactix, we provide competitive compensation packages that align with our growing business and market position. We prioritize your wellbeing by offering tailored flexible working arrangements that promote a healthy work-life balance. We are committed to assisting your development, including support in obtaining professional certifications. Additionally, our organisational culture, centered on collaboration, plays a pivotal role in maintaining our exceptional staff retention rates. We have recently relocated to modern offices conveniently situated by the Harbour in The Rocks.
The Role
We are seeking a Finance Manager with strong people management skills to lead our finance team. Reporting to the CFO, you will be responsible for leading financial planning, budgeting, and reporting to align with strategic goals. Additionally, you will manage cash flow, risk assessment, tax compliance, and payroll procedures while streamlining financial operations and providing leadership to the team.
Key Responsibilities:
Financial planning and Budgeting:
- Assist the CFO in developing and implementing financial plans, budgets, and forecasts aligned with the group’s strategic objectives.
- Monitor and analyse financial performance, identifying areas for improvement and implementing necessary strategies.
Financial Reporting and Analysis:
- Producing and supervising financial reports related account payables, account receivables, expenses etc. Responsible for managing audits.
- Collecting, interpreting, and reviewing financial information, including profit and loss statements, balance sheets, cash flow statements and variance analysis.
- Predicting future financial trends to identify risk and opportunities.
- Reporting to CFO and stakeholders and providing advice how the company and future business decisions might be impacted.
Cash Flow management and Risk Assessment
- Oversee cash flow planning, including monitoring cash balances, forecasting cash needs, and optimising cash utilisation.
- Evaluate financial risks to mitigate potential issues and ensure financial stability.
- Manage relationships with banks, financial institutions, and external accountants/auditors to ensure smooth operations and compliance.
Tax Compliance
- Prepare, supervise, and file tax returns.
- Manage tax audits.
- Manage tax planning and compliance and ensure accurately reporting.
Payroll
- Oversee and direct payroll procedures.
- Ensure compliance with applicable laws and payroll tax obligations.
- Provide supervision and coaching to the payroll team.
Financial operations and systems
- Streamline and improve financial processes, systems, and procedures to enhance efficiency and accuracy.
- Implement and maintain robust financial systems for accounting, budgeting, and reporting purposes.
- Ensure timely and accurate processing of financial transactions, including accounts payable, accounts receivable payroll and general ledger.
Team Management and Leadership
- Lead and mentor the financial team, proving guidance and training.
- Foster a collaborative and high-performing work environment, promoting professional development and knowledge sharing.
- Coordinate with other departments to ensure effective financial communication and support across the organisation.