We are seeking a highly motivated and technically proficient Finance Professional to join a dynamic and collaborative finance team. This critical role encompasses a broad range of responsibilities across Management Reporting, Regulatory Compliance, and Transaction Processing. You will be essential in ensuring the accuracy and integrity of financial data, supporting global operations, and driving process improvements.
This is an opportunity to take ownership of key financial processes and interact with stakeholders across APAC and Europe. If you are a self-starter with a knack for detail and a strong background in financial institutions, we encourage you to apply.
Key Responsibilities:
Financial Reporting & Analysis
- Execute and validate daily Profit and Loss (P&L) reporting to Head Office and the Business.
- Manage and ensure the accuracy of month-end close processes, including comprehensive balance sheet reconciliations and preparation of detailed monthly management reports.
- Compile and submit various monthly, quarterly, and annual Head Office reports, including tax schedules and supplementary financial information.
Regulatory & Tax Compliance
- Take carriage of preparing year-end accounts and financial statements for local subsidiaries.
- Act as a key liaison for external auditors, preparing necessary documentation and responding to inquiries for both internal and external audits.
- Prepare detailed tax-related working papers, including Country-by-Country (CbC) reporting and various withholding tax computations.
- Oversee the timely review and lodgment of Business Activity Statements (BAS), Income Activity Statements (IAS), and Fringe Benefit Tax (FBT) returns.
- Maintain the Tax Fixed Asset Register and perform year-end reconciliation of tax vs. accounting records.
Operations & Business Support
- Prepare complex month-end journal entries, including mark-to-market entries for FX/bonds, Expected Credit Loss (ECL), and incentive compensation.
- Investigate and reconcile discrepancies between source systems and the general ledger.
- Assist with Accounts Payable and Accounts Receivable oversight and intergroup settlements.
- Identify and implement process improvements to enhance efficiency across the finance function.
- Support major finance system transformation projects and ensure procedure documentation is current.
About You:
- Minimum of 4+ years of relevant experience within financial institutions or a similar demanding accounting/reporting role.
- A Tertiary qualification coupled with a CA or CPA designation (or equivalent).
- SAP experience is highly advantageous
- Strong technical accounting knowledge with demonstrable, hands-on experience in the month-end close cycle and reporting.
- Advanced proficiency in Excel and proven, strong reconciliation capabilities.
- Exceptional interpersonal and communication skills, with the ability to liaise with diverse stakeholders globally.
- The ability to work autonomously, manage multiple priorities, and meet tight deadlines consistently.
If interested in applying to the Financial Associate position please apply today, for further information please call Henry Campbell on 0436449637 or reach out to henry.campbell@randstad.com.au
At Randstad, we are passionate about providing equal employment opportunities and embracing diversity to the benefit of all. We actively encourage applications from any background.
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