Job Responsibilities Arranging, giving notice of and attending meetings of directors and shareholders Advising organisations' governing boards on matters concerning compliance with stock exchange listing rules, relevant legislation and corporation practice Supervising organisations' share capital by preparing documents and share issues, and handling share transfers Controlling treasury and treasury systems and establishing and reviewing risk management objectives and treasury policies Identifying, managing and reporting on financial risks Assisting with equity management, debt management, securities and taxation planning issues Collecting, analysing and interpreting information on the financial standing, cost structures and trading effectiveness of organisations Devising, re-organising and establishing budgetary cost control and other accounting systems such as computer-based systems Conducting audits and investigations and preparing financial statements and reports for management, shareholders, and governing and statutory bodies Evaluating the cost effectiveness and risks of operational processes, activities, policies and systems Reporting to management on the existence and effectiveness of the system of internal controls Establishing audit objectives, and designing and implementing audit methodologies, processes and audit report criteria Desired Experience & Qualification At least 2 years post qualification experience A Degree in Auditing or related Qualification. Below age of 44. Exceptional command of the English Language Package & Remuneration Please note that we are an immigration company and do charge a facilitation fee. We are accredited by OMARA, a branch of the Department of Immigration and Border Protection in Australia. #J-18808-Ljbffr