Add expected salary to your profile for insightsMaxMine is looking for an enthusiastic self-starter who is keen to work in our executive team and manage our finance, accounting and performance function.
You will be hungry to learn, understand the importance of attention to detail, but also have a strategic perspective.
You will have experienced best-practice systems that facilitate efficient processes from invoicing, to bill payments to cashflow forecasts and management reporting.About UsMining operations deal in massive scale operational problems.
They 'lift and shift' millions of tonnes of material and consume hundreds of millions of dollars per year in operating expenses.
A 1% improvement across load and haul fleets can add literally millions to our clients' bottom lines and reduce their carbon output by meaningful amounts.
We are delivering these improvements to our clients across Africa and Australia.MaxMine is an automated business improvement product which performs advanced analytics and data science on operational data from mobile mining equipment to deliver significant cost savings and productivity gains to global miners.
We apply engineering science and mathematics to operational data that we collect with our hardware.
We store and analyse this data via our cloud platform and deliver results straight into client's operations.Our approach is the future of Professional Consulting Services, and everything that we do, and how we do it, reflects this.
We are a value focused tech company, which happens to work across Operational and Engineering domains in the Mining Services industry.
With a growing client base and rapid expansion of services, analytics and operations we have a range of interesting projects that will have an impact.Our ValuesOur team's cohesion and success draws from a culture of shared values.
We are looking for someone who identifies with all of the following to ensure they are a good fit for the company and vice versa.Customer - We play the long game, as one teamImpact - We move the needle for our customers, people & environmentUbuntu - We believe 'I am because we are' - we are part of a bigger game and others created a road we now travel on.Finishing - We celebrate when things are doneExcellence - We take pride in our work.
Quality output with a sense of urgencyPlayful spirit - We have a good laughAbout the RoleLead the development and implementation of the company's financial strategy.Oversee the preparation of detailed financial reports, including profit and loss statements, balance sheets, and cash flow projections.Provide insights and analysis to help guide the Executive Team's strategic decisions.Deliver regular financial updates and forecasts to the Board and key stakeholders.Ensure the company's liquidity by monitoring cash flow, managing working capital, and controlling expenses.
Implement cost-saving initiatives where appropriate.Oversee and ensure the accuracy of the company's payroll systemEnsure compliance with all statutory reporting requirements, including taxation, audits, and government filings.Develop and maintain a strong control environment to ensure the accuracy of financial records and compliance with all regulations.
Identify and mitigate financial risks to protect the company's interests.Lead the annual budgeting process, working closely with department heads to align their budgets with overall company strategy.
Regularly update financial forecasts to reflect business performance and market conditions.Identify and implement process improvements within the finance function to enhance efficiency and accuracy.Manage tax planning and compliance, ensuring timely and accurate filing of corporate taxes.
Stay up-to-date with changes in tax regulations and their implications for the company.About youEducation/Vocational QualificationsBachelor's degree in Finance, Accounting, or Business Administration (required).Professional certification such as CPA or CA (required).Master's degree in Finance or Business Administration (desirable).Technical / role specific skillsStrong understanding of financial reporting, budgeting, forecasting, and analysis.Expertise in financial modelling and data analysis, with the ability to provide actionable insights.Advanced proficiency in financial software (e.g., MYOB, Xero, Oracle, or SAP) and Excel.Comprehensive knowledge of taxation, payroll, and statutory reporting regulations.Ability to design and manage financial control systems to ensure compliance with corporate and regulatory standards.ExperienceMinimum 10 years of experience in finance, with at least 5 years in a leadership or senior finance role.Proven experience in financial planning and analysis, including long-term forecasting, budgeting, and cash flow management.Extensive experience in presenting financial information to boards, executives, and external stakeholders.Previous experience managing audits, compliance, and risk mitigation in a corporate environment.Track record of implementing process improvements and financial technologies to streamline operations.If all this sounds like you, please apply via Seek with a PDF version of your CV.We will only interview candidates with full working rights.No recruiters please.#J-18808-Ljbffr