The Company
Our client is a reputable high-profile services organisation that provides a wide range of products/services to a diverse client base. You will work alongside an experienced team of finance professionals and report to a supportive Head of Finance.
The Role
- Preparation of monthly and annual financial reports
- Maintenance and reconciliation of the general ledger, including journals
- Reporting on FBT, Tax Credits and Payroll Tax
- Balance Sheet Reconciliation
- Process and manage the depreciation of assets
- Cashflow forecasting and management
- Profit analysis and evaluation of capital expenditure
- Preparation of monthly budgets versus actual for their various business units
- Trend analysis and full-year forecasts
- Assist with the preparation of annual budgets
- Liaison with internal and external auditors
- Ad hoc reports and projects as required by the team
Requirements:
- Ideally, you will be a suitably qualified CA/CPA
- System implementation experience will be highly regarded
- An understanding of foreign currency
- Sound knowledge and experience in Australian accounting and statutory compliance
- Proven financial reporting experience
- Excellent written and verbal communication skills
- Self-motivated with excellent time management skills and consistent attention to detail
- A proactive approach to problem-solving
- Able to converse with stakeholders at all levels and non-financial business partners
- Positive Can-Do Attitude
Application:
For a confidential discussion, please click the 'Apply' button below.