Description:
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Prepare quarterly management reports (P&L, Balance Sheet, forecasts, cash flow). -
Manage financial year-end process, liaise with auditors, and coordinate with CFO. -
Lead the annual budgeting process. -
Support financial planning and provide ad hoc financial insights to management. - Manage payroll setup and processing, including STP filing and wage reconciliation.
- Prepare and lodge BAS and IAS.
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Reconcile bank and balance sheet accounts regularly. -
Maintain fixed asset register and calculate depreciation vs. budget.
Requirements:
- Immediately available
- An accounting qualification (e.g. CPA) and/or degree in Finance, Accounting or a related field.
- Ideally experience in a small business setting
- Exceptional communication skills
- A problem solving/proactive mindset
- Experience with transformation/ERP migration ideal
Conditions:
- Immediate start
- Conversion to permanency
- Super accessible CBD location
- Hybrid working, 2/1 split.
- Strong mentoring from an exceptional manager
25 Jul 2025;
from:
michaelpage.com.au