Reporting into the CFO, you will play a critical role in ensuring accurate financial reporting, consolidations, treasury management and regulatory compliance across the Australia and New Zealand operations. Responsibilities: Prepare and deliver monthly, quarterly and annual financial reporting to overseas parent entities Manage manual financial reporting packs and ensure compliance with US reporting requirements and IFRS standards Perform monthly consolidations across multiple legal entities, including both Profit & Loss and Balance Sheet reporting Oversee the financial reporting requirements for securitisation trusts and related funding structures Support treasury activities, including the management of short-term and long-term banking facilities Assist with facility renewals and ongoing lender relationship management Support finance transformation initiatives arising from recent organisational and reporting structure changes Ensure compliance with accounting standards, internal controls and group reporting deadlines Partner with stakeholders across Australia, New Zealand and offshore finance teams Your background: Degree and CA/CPA qualified Demonstrated experience in a Senior Financial Accountant or equivalent role Strong understanding of IFRS and US reporting requirements Proven experience performing multi-entity consolidations Hands-on securitisation trust experience advantageous Treasury experience, including banking facilities and funding structures advantageous Sound like the role for you? Apply now or email madi.hendrickse@perigongroup.com.au to submit your application!