The Role This role offers a mix of tax and treasury responsibilities, making it a great opportunity for someone who enjoys variety and process improvement. On the tax side, it involves preparing income tax and fringe benefits tax returns, reviewing monthly BAS, and completing annual deferred tax reporting. There’s also a focus on payroll tax obligations and identifying opportunities for automation and process improvements. In treasury, the role includes managing transaction banking obligations, monitoring cash balances, and assisting with cash flow forecasting. There’s also a reporting component, with the opportunity to contribute to system enhancements and automation within treasury processes. Required Skills CPA or CA qualified (or currently pursuing certification). Strong time management skills to ensure tax and treasury reporting is completed accurately and on schedule. Comfortable working both independently and as part of a team. Clear and effective communicator. Strong analytical mindset with keen attention to detail. Proficiency in advanced Excel functions. Please contact Steph via stephaniesustainrecruit.com for more information.