Job Summary
* As a key member of our team, you will play a vital role in shaping the financial landscape of our organization.
This is an excellent opportunity to work on preparing monthly management accounts, journals, and balance sheet reconciliations. You will be responsible for assisting with consolidated group financial statements, supporting budgeting and forecasting processes, including variance analysis, managing accounts payable and receivable functions, overseeing commercial lending and loan schedule reconciliations, managing bank guarantees and liaising with internal development teams, assisting with property management budgets, forecasts, P&L, and debt management, contributing to statutory requirements including BAS, GST, and FBT, project costing and cashflow reporting across development projects.
You will have the opportunity to develop your skills and knowledge in financial planning, analysis, and decision-making, while working collaboratively with other departments to achieve our organizational goals.
We are looking for someone who is highly motivated, organized, and detail-oriented, with excellent communication and interpersonal skills.
The ideal candidate will have a strong background in finance, with experience in financial planning, analysis, and reporting.
A successful track record in budgeting, forecasting, and financial analysis is essential.
A qualification in accounting or a related field would be highly desirable.