Job Description
Reporting into the Head of Finance, you will be responsible for month end processes, cost centre P&L management, management of all the statutory reporting as well as all GL management.
In addition you will oversee cash management, produce cash flow forecasts, develop financial models for forecasting, cost analysis to support decision making. You will also support the Head of Finance with annual budget preparations.
Finally you will be responsible for compiling information required for Tax and FBT return preparation. You will also assist in the design, implementation and management of financial reporting and analytical systems.
To be considered for this role you will have over 5 years experience working in a similar role with strong experience in Management Accounting, Financial Analysis, reporting, budgeting and forecasting. You will be CA or CPA qualified, and have excellent interpersonal skills with a proven ability to liaise with all levels of management. You will have strong problem solving and analytical skills with the ability to work thorugh complex issues.
For more information please call David Coupe on 9775 5906, or hit 'Apply' and send through your CV.