Job Details
Location
Melbourne
Salary
AU$160000 - AU$180000
Job Type
Permanent / Full Time
Posted
2024-07-30
Corporate Finance Manager
About our client:
Our client leverages technology, people, and physical assets to create efficient and sustainable supply chains. By developing an advanced technology platform, our client has revolutionised the logistics industry in Australia, addressing inefficiencies and lack of visibility. Owned by a well-funded, overseas parent company, they are on an aggressive M&A journey creating huge opportunity for their highly talented local Finance team.
About the role:
Reporting into the Group Financial Controller, you will be responsible for taxation, financial reporting and treasury management for the Group. Specific responsibilities to include:
About you:
Our client leverages technology, people, and physical assets to create efficient and sustainable supply chains. By developing an advanced technology platform, our client has revolutionised the logistics industry in Australia, addressing inefficiencies and lack of visibility. Owned by a well-funded, overseas parent company, they are on an aggressive M&A journey creating huge opportunity for their highly talented local Finance team.
About the role:
Reporting into the Group Financial Controller, you will be responsible for taxation, financial reporting and treasury management for the Group. Specific responsibilities to include:
- Handle the calculation and submission of GST, PAYG, Income Tax, Payroll Tax, and FBT returns.
- Prepare and file the Taxable Payments Annual Report (TPAR) with the ATO.
- Develop and execute tax planning strategies to reduce tax liabilities.
- Prepare and submit monthly reports to the international holding company.
- Compile annual financial statements.
- Provide accurate and timely financial information to the leadership team (CEO, CFO, Board).
- Ensure adherence to accounting standards (e.g., AASB).
- Work with business units to create daily and 12-month rolling cash flow forecasts.
- Manage cash flow forecasting and planning.
- Implement strategies to mitigate risks from foreign exchange and interest rate fluctuations.
- 7+ years' experience, preferably with exposure to the BIG4 environment or major corporate financial reporting/technical areas.
- Experienced in preparing financial statements, calculating and submitting tax returns, and conducting cash flow forecasts.
- Proficient in Excel, with exposure to large-scale ERP systems and BI tools
- Demonstrated experience with financial project management initiatives and financial system transformations
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