Responsibilities:
- Prepare and deliver monthly, quarterly and annual financial reporting to overseas parent entities
- Manage manual financial reporting packs and ensure compliance with US reporting requirements and IFRS standards
- Perform monthly consolidations across multiple legal entities, including both Profit & Loss and Balance Sheet reporting
- Oversee the financial reporting requirements for securitisation trusts and related funding structures
- Support treasury activities, including the management of short-term and long-term banking facilities
- Assist with facility renewals and ongoing lender relationship management
- Support finance transformation initiatives arising from recent organisational and reporting structure changes
- Ensure compliance with accounting standards, internal controls and group reporting deadlines
- Partner with stakeholders across Australia, New Zealand and offshore finance teams
Your background:
- Degree and CA/CPA qualified
- Demonstrated experience in a Senior Financial Accountant or equivalent role
- Strong understanding of IFRS and US reporting requirements
- Proven experience performing multi-entity consolidations
- Hands-on securitisation trust experience advantageous
- Treasury experience, including banking facilities and funding structures advantageous
Sound like the role for you? Apply now or email madi.hendrickse@perigongroup.com.au to submit your application!

