Business Overview:
We are seeking a high-calibre professional to take on a leadership role within our Finance team. The successful candidate will have a proven track record in managing treasury and finance operations, with expertise in cash management, debt facilities, and financial reporting.
Key Responsibilities:
* Develop and implement effective strategies to minimise the group's interest expense on external borrowings
* Report on group cash flow and treasury operations, including reports for stakeholders and management teams
* Manage the group's debt facilities and loan documentation, including loan refinancing activities
* Build and maintain relationships with external advisers, including auditors, bankers, and tax advisors
* Process foreign currency payments as required, including the utilisation of forward exchange contracts
* Maintain accurate records of foreign currency hedges
* Oversee the Accounts Payable and Accounts Receivable teams and drive continuous improvement within both functions
* Liaise with stakeholders to ensure timely and accurate financial reporting
Requirements:
* Strong technical skills in finance and accounting
* Ability to work in a fast-paced environment
* Excellent communication and interpersonal skills
* Candidate must be able to engage with stakeholders across various business units
What We Offer:
* A market-leading remuneration package
* Free parking spot
* ASX-listed company
* Flexible working arrangements