About the Company
We are a dynamic and innovative business based on the Gold Coast, dedicated to delivering forward-thinking solutions that drive growth and success.
Our focus is on fostering strong relationships and creating impactful outcomes. We pride ourselves on our commitment to excellence, adaptability, and a people-centric approach.
Our diverse range of services and tailored strategies support clients across various industries, helping them achieve their goals and navigate challenges with confidence.
We thrive on collaboration and continuous improvement, setting a benchmark for quality and reliability in our field.
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The Job
You will be reporting to the Chief Financial Officer (CFO) and responsible for:
* Coordinating and managing the company's audit, tax, banking, funding and borrowing relationships.
* Overseeing the delivery of annual audits and managing the Group's banking, liquidity, and capital strategies to ensure financial stability and growth.
* Building strong relationships with Executives, the Board, and external stakeholders, serving as the escalation point for complex financial issues and ensuring effective resolutions.
* Providing Group-wide performance analysis, investment appraisals, and financial insights to support strategic decision-making by the CFO, Executive, and Board.
* Developing and executing financial strategies, including budgeting, forecasting, long-term planning, and optimizing cash flow, working capital, and investment decisions.
* Leading initiatives to enhance revenue streams, identify new opportunities, and manage Accounts Receivable and Payable processes across Group and Divisional levels.
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About You
To be successful in this opportunity, you must have experience in the following areas:
* A Master's Degree in Finance, Accounting or a related field.
* A minimum of 5 years experience in finance leadership roles (such as Financial Controller or General Manager of Finance) within the professional services industry.
* Demonstrated expertise in managing banking, funding and liquidity relationships, including capital strategies.
* Hands-on experience with audit coordination and working with external stakeholders such as auditors and regulators.
* Excellent relationship-building skills and the ability to act as an escalation point for complex financial issues.
* Strong organisational and time management skills.