Educational requirements: Bachelor
English requirements: Proficient English
Requirements for skilled employment experience for years: 10+ years
Accept remote work: unacceptable
Responsibilities • Undertake budgeting and forecasting processes (including analysis and documentation of key assumptions) and reporting requirements and present these to the management. • Develop and maintain efficient and effective accounting systems ensuring strong internal control structure, accurate financial/operating systems, and compliance. • Financial reporting to key stakeholders including the Management Team and shareholders as necessary. • Analysing the business and examining financial information and reports, and providing advice to management as to income, expenditure, operating costs, profitability, efficiency and other matters as necessary • Analyse business operations, trends, costs, revenue, financial commitments, and obligations to project future revenues and expenses. • Reviewing financial reports to ensure that accuracy and compliance with statutory requirements. • Monitor all financial data and prepare EOM close processes including P&L, balance sheet (including b/s reconciliations) & cash flow statements. • Advising in financial and taxation matters for business operations, structures, process improvement and system enhancement initiatives. • Preparation of Business Activity Statements, Payroll, Superannuation and Income Tax Reports. • Liaising with external accountants and auditors with respect to preparation and presentation of financial statements and tax returns, together with particular advice. • Develop and implement policies pertaining to budgetary and accounting systems and processes. • Financial and cashflow modelling, analysis and forecasting and advising on all the financial risk factors.