Drive strategic financial analysis and business planning in a key role within our organisation.
Key Responsibilities
* Predict and manage cash flow to ensure accurate financial performance forecasts
* Deliver actionable business insights from financial data
* Improve performance through informed decision-making using advanced data analytics
Fully utilising your advanced Excel skills and experience in financial modelling is essential for this full-time fixed-term position based in Sydney.
What We Offer
* A dynamic culture with opportunities for career growth and development
* A collaborative work environment that supports innovation and success