This is a privately held, growth-focused investment platform operating across a portfolio of infrastructure and energy-related assets in Australia. The business is actively expanding through both development and acquisition, with a strong pipeline of new projects and entities being established.
The role
This is a broad, hands‑on finance role with responsibility for the full accounting, treasury and tax function across an established group and a portfolio of newly created project entities.
Working closely with the CFO, you will play a key role in establishing and embedding best‑practice financial processes, systems and controls, while supporting ongoing asset growth and expansion.
Key responsibilities include:
- Manage full-cycle accounting across group and asset-level entities
- Maintain accurate books and records in line with Australian accounting standards
- Oversee AP/AR, general ledger, bank and intercompany reconciliations
- Prepare monthly, quarterly and annual management accounts
- Support budgeting, forecasting and financial planning processes
- Review financial and operational performance across the asset portfolio
- Support financial due diligence on acquisitions
Audit & Governance
- Coordinate external audit processes across all entities
- Maintain robust internal controls, policies and procedures
- Ensure all financial documentation and compliance requirements are met
Treasury & Project Finance
- Manage bank accounts, payments and transaction settlements
- Support debt and equity processes including capital calls and distributions
- Prepare and maintain cash flow forecasts across the group
- Assist with lender reporting and covenant compliance (including DSCR)
Tax
- Manage tax compliance across all entities in conjunction with external advisors
- Prepare BAS/GST and other statutory filings
- Support tax reporting and structuring requirements
Additional Responsibilities
- Assist with board reporting and investor materials
- Liaise with external advisors across accounting, tax and audit
- Contribute to process improvement, system implementation and ongoing optimisation
Skills & Experience
- CA or CPA qualified with 5+ years post-qualification experience
- Approximately 7+ years’ experience within financial services, infrastructure or asset-based environments
- Strong experience across operational finance and financial control
- Background in Big 4 audit is highly regarded
- Advanced Excel capability and strong financial modelling skills
- High attention to detail and ability to manage multiple deadlines
- Strong written and verbal communication skills
- Proven ability to manage stakeholders and work in a lean team setting
- Exposure to energy, infrastructure or renewable asset environments
- Experience with project finance structures and reporting requirements
- Understanding of off-take agreements or financial instruments
- Experience supporting acquisitions and asset-level accounting
- Knowledge of debt/equity financing structures and tax frameworks
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📌 Finance & Treasury Manager (City of Sydney)
🏢 Brunel
📍 City of Sydney
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