We are a leading independent investment and advisory group. Founded in New Zealand in 1961 and established as a market leader for decades, we expanded our successful operation into Australia in 2020.
Our dedicated team of over 330 professionals includes some of the industry's most experienced and respected leaders. Together, we are committed to being our clients' most trusted partner.
Our team is made up of talented individuals with diverse backgrounds and expertise. They are the driving force behind our daily operations and the key to delivering exceptional results for our clients.
Job Description
This role can be based in either our Wellington or Auckland office.
Key Responsibilities
Own monthly, quarterly and annual reporting across the Group
Lead cash flow forecasting and budgeting
Compile monthly board packs, complete with supporting analysis and commentary
Manage regulatory and covenant reporting
Prepare and manage Group tax positions alongside the Group Tax Manager
Prepare and manage transfer pricing alongside the Group Tax Manager
Deliver consolidation and Group reporting
Help develop and streamline finance processes
Partner with the wider business as required
This role can be based in either our Wellington or Auckland office.
Desired Skills and Experience
You are CA qualified (or equivalent) with 3–5 years' post-qualification experience across management, financial and tax accounting, having started your career at a Big 4 or mid-tier firm. You bring multi-currency consolidation experience, strong NZ IFRS/GAAP knowledge and advanced Excel skills, with Dynamics 365, VBA, SQL or Power BI a bonus.
You are:
A strong team player who thrives in an open, collaborative office
Proactive and self-motivated
Comfortable working cross-functionally
Professional in manner and approach
Highly organised, with the discipline to meet tight deadlines and prioritise deliverables
A confident communicator with strong interpersonal skills
An excellent problem solver with sharp attention to detail