Bring your passion for financial accounting and reporting and join a supportive and inclusive team where you’ll deliver reporting, analysis and commentary on the financial position and performance of our global asset management business.
This opportunity will see you become part of a global network with opportunities to build connections across different businesses, regions and offices. We’ll help you to build a career in finance while you’ll gain exposure working in an IFRS accounting environment.
In this role you’ll be part of our Business Finance team where you’ll perform month end close (including journal entries), inter-co breaks clearing, suspense clearing, reconciliation and attestation of balances including resolution of any issues. You’ll also have the opportunity to perform complex accounting like investment accounting, carried interest accounting, consolidation and deconsolidation.
Part of your role will also see you work on projects such as implementations of new accounting standards, group restructures and acquisitions. You’ll also be responsible for coordinating with internal business teams and liaising with external auditors to ensure efficient and effective management of audit deliverables, as well as the integrity and completeness of financial records and compliance with finance control standards.
We’re looking for someone who is inquisitive and innovative, and who will be able to demonstrate a continuous focus on improving processes to deliver efficiencies with appropriate risk management practices and controls. To be successful in this role, you should have a postgraduate accounting qualification (CA or CPA) and 2-4 years of relevant post qualification experience in financial accounting and statutory reporting. A deep understanding of accounting standards and fundamental accounting concepts, with experience in financial services and service industry environment is also expected along with experience in consolidation, reporting, financial statement preparation. IFRS exposure will be considered favourably.
About the Financial Management Group
The Financial Management Group provides financial, tax and treasury services to all areas of Macquarie. The group is focused on providing strategic analysis and advice to Macquarie’s businesses and senior management, managing Macquarie’s funding, liquidity and capital position, ensuring Macquarie continues to meet regulatory and compliance obligations and managing Macquarie’s corporate affairs.
Our commitment to Diversity and Inclusion
The diversity of our people is one of our greatest strengths, and in combination with our inclusive environment, it enables us to deliver innovative and sustainable outcomes for our people, clients, shareholders and communities. From day one, you’ll be encouraged to be yourself and supported to perform at your best. If our purpose of ‘empowering people to innovate and invest for a better future is as inspiring to you as it is to us, please apply. With the right technology, support and resources, our people can work in a range of flexible ways.
We are committed to providing a working environment that embraces and values diversity and inclusion. We encourage candidates to speak with a member of our recruitment team if you require adjustments to our recruitment process to support you, and the type of working arrangements that would help you thrive.


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