Blue chip retail company with an international presence. Locally they dominate the market and have experienced very strong growth and continue to be an "Employer of Choice". Due to an internal promotion this role has become available to join this fast paced environment
About the Role:
Reporting to the Assistant Treasurer, you will be responsible for developing and executing the Balance Sheet strategy for the Group and its business units, M&A due diligence, Project Management for other projects for Group Treasury both internally and externally, other responsibilities will include:
- Maintain the Group’s balance sheet and other financial models and perform modelling and market analysis;
- Support preparation of the annual and half-yearly dividend recommendations;
- Execute capital management transactions (equity raisings, dividend neutralisations, on-market buy-backs, off-market buy-backs, capital returns, etc);
- Contribute to Group Treasury initiatives such as process improvements, system implementations and upgrades
As an accomplished CA/CPA candidate you will have had a minimum of 5 years experience in a similar role, ideally your industry experience would have been in FMCG/Retail/Banking, however quite flexible provided you are able to bring your expertise in Project Management and Capital Management transactions. You will be working in a fast paced, high energy environment with the ability to handle multiple tasks working under deadline pressures.
How to Apply:
To apply online, please click on the appropriate link below. Alternatively, for a confidential discussion, please contact Rosie Border on 0499 089 639.