About Our ClientA leading national Fund Manager and Investment company based in Melbourne's CBD. With a team of over 75 professionals and a solid variety of local and international clients, the team prides itself on their outstanding and proven results for their clients.Job DescriptionKey responsibilities include but are not limited to:Review monthly balance sheet files for the GroupProducing monthly internal finance management reports in alignment to group finance needs as requiredReview (and where necessary posting) of all accounting transactions for the business.Approve and organise payment of all business-related expense paymentsPrepare and facilitate financial and management reports to business stakeholders including Boards, Leadership Committees, and clients (as required)Monitor and maintain internal controls as they relate to financial operations.Ensure business finances are properly administered, monitored and approved, including credit control, accurate and timely preparation of fee / revenue invoices, and vendor disbursements.Ensure and facilitate accurate and timely closure of books / ledgers each month.Prepare and accurately account for monthly tax. Ensure monthly Business Activity Statement, annual Fringe Benefit Tax, annual Income Tax and annual Payroll Tax reconciliation lodgements.Assist Head of finance with corporate strategy and business planning analysis, financial performance forecasting, scenario modelling, expense and product profitability analysis.Work with team and product leaders on product / service profitability modelsThe Successful ApplicantCA/CPAExperience managing a small teamAvailable at short noticeExcellent presentation and communication skillsAt least 5 years experience in a similar role and capacity