Financial Leadership Opportunity
This is a high-visibility role within a dynamic finance team.
Key Responsibilities:
* Prepare and review journal entries, including payroll accruals, bonus provisions, prepaid insurance, PPV, novated leases, intercompany, inventory amortisation, etc.
* Ensure transaction integrity of trial balance coding for multiple entities.
* Lead monthly reconciliation of payroll liabilities, tax balances (GST, FBT, income tax), inventory, GRNI, and COGS roll over annual review other key GL accounts.
Compliance & Tax Support:
* Support PAYG, payroll tax, Novated lease FBT submissions and GST/BAS preparation.
* Work closely with external advisors on income tax reconciliations.
Audit Coordination & Statutory Reporting:
* Act as the primary contact for external auditors, including DS, DP, and consolidated file reviews.
Cashflow & Payment Oversight:
* Review payment runs, assist with Corpay international remittance, and support cashflow forecasting.
Stakeholder Engagement:
* Collaborate with the FP&A Manager to align on month-end performance, variance analysis, and balance sheet reviews.
Systems & Process Tools:
* Use Oracle ERP, OneStream, QlikView/OBIEE, LeaseQuery, Micropay, Esker, ASIC/ATO portals, and Excel.
Ad Hoc & Project Work:
* Assist the Regional Financial Controller in handling regulatory updates, audit prep, local project tasks, and one-off adjustments or write-off journals.