at is seeking an Assistant Accountant to support cash planning and financial reporting across all group entities. You will coordinate data from Accounts Payable, Accounts Receivable, Taxation and Management Accounting teams to produce accurate cash flow forecasts, reports and Board packs.
The role focuses on improving visibility of group cash movements, intercompany transactions and funding requirements while supporting governance and reporting obligations of the Directors.
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📌 Cash Flow & Treasury Analyst (Australia)
🏢 @
📍 Australia