Key Responsibilities:
- Oversee cash flow calculations, trust account reconciliations, and monthly distributions.
- Manage monthly financial reporting for securitisation and warehouse facilities.
- Enhance trust management controls to strengthen accuracy and reliability.
- Assess and implement key financial controls for securitisation activities.
- Contribute to financial disclosures for securitisation trusts.
- Support month-end and year-end close processes.
- Perform balance sheet reconciliations, ensuring discrepancies are addressed.
- Assist in the preparation of statutory financial reports.
- Participate in hedge accounting processes under AASB 9 / IFRS 9.
- Ensure the integrity of month-end financial results, liaising with internal teams.
- Maintain and refine financial processes and documentation.
- Collaborate with a team of Financial Accountants to drive operational efficiencies.
- CPA / CA / ICAA accreditation (or equivalent international certification).
- 3-5 years’ experience in financial control, treasury accounting, or financial reporting.
- Strong understanding of accounting standards and regulatory frameworks.
- Prior experience in securitisation accounting is advantageous.
- Be part of a high-performing finance team in a leading organisation.
- Gain exposure to complex treasury and financial reporting functions.
- Opportunities for career growth and development.
- Contribute to finance transformation initiatives.
For further information, please contact Luke Traynor on 0426011375 or luke.traynor@troocoo.com for a confidential conversation.
Alternatively, if you are interested in the position, please apply below and we will ensure we get back to your application.