Business Strategist - Financial Planning and Analysis
About the Role
We seek a seasoned Business Strategist to drive financial planning and analysis, with expertise in forecasting, banking, and treasury. The ideal candidate will be responsible for managing cash flow forecasts, banking relationships, and working capital optimization.
Key Responsibilities
* Develop and maintain accurate cash flow forecasts, ensuring timely collections and robust supplier terms;
* Maintain bank relationships (guarantees) and optimize working capital;
* Oversee indirect tax & statutory obligations:
o BAS/IAS;
o Payroll tax;
o Superannuation;
o WorkCover;
o FBT coordination;
o Audit support;
* Partner with operations on costings, inventory valuation, margin analysis, and pricing decisions;
* Mentor a small finance team and foster a continuous-improvement culture.
About You
* 7+ years of experience in financial planning and analysis;
* Proven track record in cash flow management and forecasting;
* Strong understanding of indirect tax & statutory obligations;
* Excellent communication and interpersonal skills;
* Ability to work collaboratively with cross-functional teams;
What We Offer
* Opportunity to work with a dynamic and growing organization;
* Competitive salary and benefits package;
* Ongoing training and professional development opportunities;
* Collaborative and supportive work environment.