As a market leader in our industry, we introduce excellence in Manufacturing, Wholesale, and E-commerce. Our dedication lies in delivering top-quality products through state-of-the-art manufacturing processes, a robust wholesale distribution network, and a user-friendly e-commerce platform.
1. Precision Manufacturing: Our facilities utilise cutting-edge technology and adhere to the highest standards to produce exceptional products.
2. Reliable Wholesale Distribution: We offer a streamlined wholesale distribution system that ensures timely delivery and consistent quality to our partners.
3. Seamless E-commerce Experience: Our e-commerce platform is designed to provide customers with an effortless shopping experience, from browsing to checkout.
Job Purpose:
The Finance Manager – Corporate Accounting is responsible for financial reporting, accounting and system processes, treasury and compliance risk management.
4. Establishing & maintaining accounting processes and systems in order to ensure timely and accurate financial reporting,
5. Financial reporting disciplines and risk management in line with legal, local entity & international group requirements
6. Internal controls and compliance and treasury and foreign exchange risk management.
7. Oversee Accounts Payable and Receivable teams, and overhead cost reporting, including wage and discretionary cost budgeting.
8. Ensuring that all financial controls are managed is to identify and execute on continuous improvement initiatives and take the lead to ensure business functions work within processes and systems efficiently.
CORPORATE ACCOUNTING
· Delivering IFRS and AAS compliant accounting and controlling framework and policy
· Key member of the Finance team supporting the development and implementation of the Businesses financial objectives & the Finance functional objectives
· Ensure the Financial Ledger is maintained & reconciled by managing an efficient period close with production of periodic financial reports & statements.
· Build relationships with the business identification of new opportunities to improve corporate performance
· Delivery of day-to-day financial accounting aspects of the company's operations
· Oversee the company’s annual Working Capital against Group targets
· Oversee the Balance Sheet Budget and Forecast process supporting the Finance Manager, Reporting & Planning
· Deliver overhead budget and forecast requirements, working with and supporting Executive stakeholders and working with HR on people cost and bonus budgeting.
· Support systems implementation development projects and improvement opportunities as relevant to Finance workstreams
COMPLIANCE
· Delivery of Statutory obligations and other internal/external compliance requirements are met for Australia and New Zealand.
· Review & maintenance of internal controls for the purposes of ensuring business data integrity, accuracy & security (including tracking of G&H).
· Ensure company is prepared for, and liaise with, internal and external auditors and ensure any audit points are tracked and resolved.
· Responsible for all elements of Taxation in the business, including producing and submitting BAS returns for Australia and New Zealand, investigating GST rates for new products, oversee the completion of the FBT return,
preparation of annual tax return.
PEOPLE MANAGEMENT
· People leadership of the Accounts Receivable, Accounts Payable and Treasury team members, ensuring they are motivated and clearly understand department goals and broader business imperatives
· Ensure Finance team roles & responsibilities are aligned to business partnering and providing accounting support to the Business
· Act as a role model by consistently displaying behaviour that encourages productive working relationships and a strong performance culture.
TREASURY
· Manage all aspects of foreign currencies for the business, including forecasting foreign exchange requirements, recommending hedge requests to the CFO and producing the required hedging documentation and Group returns
· Produce information required for the budget and forecast process in relation to foreign currencies
· Manage the cashflow forecast process on cashflow issues and management.
Click 'Apply Now' or contact me with your resume through ChrisL@sde.com.au for a confidential chat now.
Six Degrees Executive acknowledges the Traditional Custodians of the lands on which we work and live. We are also committed to equal opportunity and strive to promote diversity, inclusion, belonging, flexibility, and accessibility in all that we do.
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