Finance Manager - Hybrid, Multi-Entity & Cash Flow

ShineHub PTY LTD

Sydney

Hybrid

AUD 120,000 - 160,000

Full time

4 days ago
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Benefits offered by this job

Hybrid working
Mascot office near public transport
Friendly team culture

Job summary

ShineHub Pty Ltd is seeking a Finance Manager to lead the day-to-day finance function across the Group, overseeing month-end close, reconciliations and intercompany processes. You will own cash flow forecasting, working capital management, and day-to-day cash management, flagging funding needs and risks early, while coordinating budgets with the CFO.

Role includes supervising a small team, ensuring BAS/GST, PAYG, payroll tax, and FBT compliance, and improving Xero integrations across platforms.

Qualifications

  • CA or CPA qualification with a relevant degree.

Responsibilities

  • Lead month-end and year-end close across Group entities, including reconciliations and intercompany processes.
  • Prepare monthly management accounts with variance analysis for the CFO.
  • Own cash flow forecasting, working capital and day-to-day cash management.
  • Oversee AP, AR, bank reconciliations, collections and payments with correct approvals.
  • Coordinate budgets and rolling forecasts with the CFO and department heads.
  • Coordinate tax and statutory compliance (BAS/GST, PAYG, payroll tax, FBT) and audit prep with external advisers.
  • Oversee Xero and interfaces with platforms, improve integrations and reporting.
  • Supervise a small team of local and offshore staff and support CFO on group reporting.

Skills

Month-end close
Cash flow forecasting
Intercompany accounting
Multi-entity accounting
Xero proficiency
Excel skills
Attention to detail
English and Mandarin

Education

CA or CPA qualified
Accounting degree

Tools

Xero

Job description

ShineHub Pty Ltd is seeking a Finance Manager to lead the day-to-day finance function across the Group, overseeing month-end close, reconciliations and intercompany processes. You will own cash flow forecasting, working capital management, and day-to-day cash management, flagging funding needs and risks early, while coordinating budgets with the CFO.

Role includes supervising a small team, ensuring BAS/GST, PAYG, payroll tax, and FBT compliance, and improving Xero integrations across platforms.

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