$150k plus super
EGM Accounting and Finance has been retained by our client to secure the appointment of a corporate analyst to report directly into the CFO of their finance team.
The Corporate Analyst is accountable for ensuring Treasury operations and regulatory compliance information is completed in a timely and accurate manner, supporting the business needs.
This position is accountable for long term financial modelling, preparation and completion of timely
compliance information for Banks and Regulators, as well as providing general support to the Corporate function.
Treasury back-office functions.
Maintain the Corporate financial model (Long-term Forecasts, Impairment testing, Pricing assessments, Asset Valuation etc.)
Assisting with Auditor enquiries
Preparation of Regulatory accounts
Economic research for inputs of regulatory matters (cost of equity, debt etc)
Reconciliation of Corporate Models to Actual results and Business Plans
Cash flow forecasting
Manage Notices from Economic Regulators
Assist CFO with inquiries from Owners, Banks and Economic regulators
Strong corporate finance knowledge (ideally relating to infrastructure assets)
Highly analytical with a strong attention to detail
Results oriented with an ability to respond and adapt to change
Safety aware and self-motivating
Team player with a strong customer focus
Demonstrated experience (minimum 5 years) in a similar operational business environment
Education & Qualifications (Formal education) – Degree qualifications in Business, Accounting or Finance
If you're keen to find out more please contact Mark Johnson at EGM or hit the apply button.
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