This newly created position offers the opportunity to join a fast-growing, asset-intensive business with national operations. You’ll be part of a collaborative finance team, supporting financial reporting, compliance, and process improvement across a complex operational environment.
This is a hands-on role where your insights will directly influence financial accuracy, reporting quality, and strategic decision-making. You’ll be given the tools and autonomy to improve processes, interact with senior stakeholders, and help shape the financial backbone of the business.
Key Responsibilities:
- Preparation of monthly financial statements and management reports
- Support year-end audit and statutory reporting
- Assist with budgeting, forecasting, and variance analysis
- Maintain fixed asset registers and depreciation schedules
- Ensure compliance with tax obligations (BAS, FBT, etc.)
- Drive process improvements and support system upgrades
- CA/CPA qualified or working towards
- 2–4 years’ experience in public practice (business services or audit)
- Strong technical accounting knowledge
- Excellent communication and stakeholder engagement skills
- Proactive, commercially focused, and improvement-oriented