Job Description In this role you will be responsible for: Delivering timely and accurate management reporting to the Board and Executive team Ensuring group consolidation of approximately 35 entities is completed on time for management reporting Performing monthly financial reviews with country managers and country financial controllers Managing reporting timelines across the global group and individual countries Assisting with statutory reporting obligations and local compliance requirements across multiple jurisdictions Supporting Australian local reporting obligations including BAS, payroll tax and PTRS Assisting with treasury related activities, including foreign currency matters and FX rate management Developing and maintaining standard operating procedures, policies and best practice documentation Producing automated reports for country finance teams to support efficient Board reporting Staying up to date with accounting standards, tax legislation and system enhancements Participating in accounting system upgrades and improvement initiatives Undertaking additional projects and duties as required by the Group CFO and Group Financial Controller Here’s why you’ll love working with us: Hybrid Work: Enjoy flexibility with a hybrid working model and work from home options High Performance Culture: Be part of a results driven team that values accountability and growth Global Exposure: Work across a multi-country organisation with international stakeholders Incredible Team: Join a collaborative, values led finance team supporting a purpose driven organisation