Skills
Government Grant Management Client & Supplier Relationship Management Cloud-Based Job Management Systems Internal Controls & Audit Management Strategic Financial Planning Prepare monthly financial Reconciliations
100%
Financial Reporting & Analysis Cashflow Forecasting & Budgeting Xero & Advanced Excel Proficiency Payroll Management & Compliance Team Leadership & Development Internal Controls & Process Improvement Management Reporting Compliance and Risk Management
100%
Portfolio
Learn from the past, plan for the future and act today.
Services
Team Leadership
Lead and mentor a team of 10 team member, fostering a collaborative environment and driving efficiency in financial operations. Successfully implemented process improvements that resulted in a 15% increase in team productivity
Cashflow Forecasting & Payroll
Prepare and manage weekly cashflow forecasts, ensuring the business maintains a strong financial position. Oversee payroll processing, including managing industry and superannuation obligations
Financial Management & Reporting:
Oversee the preparation of budgets for P&L and Capex, manage accounts payable and receivable, and reconcile bank statements. Ensure accurate and timely financial reporting, including monthly, quarterly, and annual reports