This is a varied and commercially interesting role, offering exposure across multiple brands and entities as the business continues to scale. You'll be a key contributor to the day-to-day financial operations while playing a meaningful role in an upcoming systems integration project.
What you'll be doing:
- Preparing accurate weekly and monthly financial reports to support business decisions
- Supporting month-end close including journals, accruals and balance sheet reconciliations
- Assisting with annual budgeting, reforecasting, statutory reporting and variance analysis
- Managing GST, FBT and income tax compliance, including returns and reconciliations
- Maintaining the fixed asset register and overseeing capital expenditure processes
- Ensuring accurate financial treatment of inventory movements and stock balances
- Playing a key role in an upcoming systems integration project
- Identifying opportunities for process improvement while maintaining strong internal controls
- CA or CPA qualified with a relevant accounting degree
- 5+ years experience
- Multi-entity or multi-site experience essential; retail background highly regarded
- Strong across financial reporting, tax compliance and month-end
- Systems-savvy with the ability to work across large data sets
- Collaborative, achievement-driven and comfortable in a fast-paced environment
- A modern, purpose-built Brisbane office with free on-site parking
- Hybrid working - 3 days in office, 2 days from home
- Exclusive staff discounts and access to partner benefits
- Paid parental leave and wellbeing support
- A genuinely close-knit, supportive Finance team
conal.grewar@perigongroup.com.au

