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Posted 1d ago
Treasury Manager
ANL
Melbourne VIC 3004•Full time
$100k - $130k
KEY POINTS WE FOUND
- Manage ANL's treasury operations and cash flow.
- Oversee Accounts Receivable and Accounts Payable processes.
- Lead and develop the Treasury team to ensure compliance and efficiency.
Posted 10d ago
Financial Controller - Industry Awaits!
Benneaux
Melbourne VIC 3004•Full time
$100k - $150k
KEY POINTS WE FOUND
- Responsible for accounting for investment trusts and preparing monthly reporting packs.
- Manage treasury functions including cash flow forecasting and external audit requirements.
- Involved in preparation of statutory financial statements and income tax returns.
Posted 35d ago
Senior Accountant
Probe Contact Solutions Australia Pty Ltd
Melbourne CBD VIC•Full time
$90k - $120k
KEY POINTS WE FOUND
- Oversee global treasury operations and cash visibility across international accounts.
- Lead operating expense budgeting and continuous forecasting for various departments.
- Deliver actionable insights to department leaders for resource planning and budget controls.
Posted 35d ago
Senior Accountant
Probe Contact Solutions Australia Pty Ltd
Melbourne VIC 3004•Full time
$90k - $120k
KEY POINTS WE FOUND
- Oversee global treasury operations and cash visibility across international accounts.
- Lead operating expense budgeting and continuous forecasting for various departments.
- Deliver actionable insights to department leaders for resource planning and budget controls.


Posted 12d ago
Finance Manager | Melbourne CBD | High-Growth Investment Business
Sharp & Carter
Melbourne VIC 3004•Full time
$120k - $150k
KEY POINTS WE FOUND
- Lead financial reporting processes including month-end, quarter-end, and year-end.
- Manage budgeting, forecasting, and cash flow planning activities.
- Oversee treasury, tax compliance, and external audit requirements.
Posted 15d ago
Trust Specialist
Allens Operations Pty Ltd
Melbourne VIC 3004•Full time
$80k - $100k
KEY POINTS WE FOUND
- Responsible for the accurate and compliant transfer of funds into and out of the firm''s Trust Account.
- Support the management of the firm''s working capital by ensuring billings, collections, and receipting are processed efficiently.
- Collaborate with team members to deliver high-quality client service and manage competing priorities.