We're looking for a detail‐oriented Finance Analyst to handle and manage accounts, support cash flow management and financial forecasting on a part‐time or project basis. This role is ideal for someone with a strong finance or accounting background who is confident working with numbers and financial systems.
Key Responsibilities
* Prepare and maintain cash flow forecasts
* Monitor financial performance and variances
* Build and update financial models
* Generate accounting, P&L reports and insights for management
* Support budgeting and planning processes
* Assess profit & expenses
* Manage financial tool / platform keeping records up to date
Requirements
* Background in finance, accounting, or a related field
* Hands‐on experience with Xero & Zoho
* Experience with forecasting tools such as Fathom and Syft is highly preferred
* Strong analytical and numerical skills
* High attention to detail and accuracy
* Ability to work independently and meet deadlines
* Part‐time or project‐based
* Remote role
Benefits
* AU time zone working hours (no graveyard shifts)
* We're a passionate, forward‐thinking team (and genuinely good humans)
* Growth opportunities as we expand
* Supportive culture where initiatives and ideas are celebrated
If you're experienced in financial forecasting and enjoy working with data to support business decisions, we'd love to hear from you.
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