 
        
        Financial Planning and Control Professional
We seek an experienced Financial Planning and Control professional to join our team. The ideal candidate will have expertise in cash flow management, financial forecasting, and planning, as well as budgeting and profit/loss statement preparation.
 * Cash flow management involves monitoring and analyzing the company's cash inflows and outflows to ensure sufficient liquidity for operations, investments, and debt repayment.
 * Financial forecasting is critical for making informed business decisions and identifying potential risks. It involves predicting future financial performance based on historical data and market trends.
 * Budgeting and profit/loss statement preparation are essential for tracking expenses, revenue, and profitability. These documents provide valuable insights into a company's financial health and inform strategic decision-making.
The successful candidate will also be responsible for payroll, BAS, debtors, and creditors oversight, as well as cost accounting and job costing. Additionally, they will provide financial reporting and decision-making support to senior management.
We offer opportunities across various industries and company structures. Professionals of all levels are encouraged to apply.
To apply, submit your resume. For inquiries, call us quoting reference number 3717248.