Job Description
Key Responsibilities
- Own monthly, quarterly and annual reporting across the Group
- Lead cash flow forecasting and budgeting
- Compile monthly board packs, complete with supporting analysis and commentary
- Manage regulatory and covenant reporting
- Prepare and manage Group tax positions alongside the Group Tax Manager
- Prepare and manage transfer pricing alongside the Group Tax Manager
- Deliver consolidation and Group reporting
- Help develop and streamline finance processes
- Partner with the wider business as required
Desired Skills and Experience
You are CA qualified (or equivalent) with 3–5 years’ post‑qualification experience across management, financial and tax accounting, having started your career at a Big 4 or mid‑tier firm. You bring multi‑currency consolidation experience, strong NZ IFRS/GAAP knowledge and advanced Excel skills, with Dy...