Key Responsibilities:
- Prepare consolidated financial statements and lead monthly, quarterly, and annual reporting cycles
- Manage group consolidations, intercompany eliminations, and reconciliations
- Deliver board and investor reporting
- Ensure compliance with audit, tax, and statutory requirements
- Oversee budgeting and forecasting for the corporate entity
- Lead cash flow forecasting and group treasury activities, including bank accounts, intercompany funding, and FX management
- Coordinate annual audits, including preparation of audit deliverables
- Manage all tax obligations including income tax, FBT, BAS, and statutory filings
- CA/CPA qualified (or equivalent) with extensive experience in controllership, financial management, and group consolidations
- Proven background in multi-entity organisations with strong knowledge of accounting standards and regulatory requirements
- Advanced Excel capability and exposure to modern ERP systems
- Strong communication skills, with the ability to liaise confidently across all levels of the business
- Hands-on, adaptable, and comfortable working in a small, dynamic finance team
If this sounds like the role for you, click APPLY NOW or email madi.towner@perigongroup.com.au
