About the Role
Lead and manage end-to-end finance operations, including Accounts Payable (AP), Accounts Receivable (AR), Payroll, and General Ledger (GL), while building and mentoring a high-performing team.
Oversee the accurate and timely completion of month-end and year-end close processes, including reviewing journals and performing balance sheet reconciliations.
Prepare and present monthly, quarterly, and annual financial statements, including cash flow reports.
Drive budgeting and forecasting processes, monitor performance against budgets, and provide clear analysis of variances and business performance.
Ensure compliance with all statutory and regulatory requirements, including BAS, FBT, corporate income tax, payroll tax, superannuation, and gaming tax.
Prepare and finalise year-end tax work papers with complete supporting documentation.
Manage and review accounting entries related to acquisitions and disposals.
Design, implement, and continuously improve internal controls, policies, and financial processes to strengthen governance.
Provide strategic financial insights, including commercial modelling and capital expenditure (CAPEX) evaluation to support decision-making.