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Corporate Finance Manager
2 months ago
We are seeking a highly skilled Corporate Finance Manager to join our team at ResMed. As a key member of our Finance team, you will play a critical role in supporting our business leaders and driving financial planning and analysis initiatives.
Key Responsibilities- Partner with local business leaders, including the Chief Information Officer, to provide financial planning and analytical support for decision-making.
- Analyze financial information to determine present and future financial performance and identify trends and opportunities for improvement.
- Develop and maintain robust and scalable benchmarking processes and metrics for IT organization.
- Drive forecasting, close processes, controls/compliance activity, as appropriate.
- Conduct special studies to analyze complex financial actions and prepare recommendations for policy, procedure, control, or action.
- Support Continuous Improvement initiatives by driving efficient processes, improved tools and optimal organization structures.
- Ability to plan, execute and deliver on projects in a timely manner and to multi-task on varying projects and initiatives with external driven deadlines that may shift during the course of the project.
- Demonstrated project management experience leading cross-functional and global teams.
- Detail-oriented, organized and thorough with desire for continuous improvement.
- Exceptional writing skills, as well as outstanding communication and interpersonal skills.
- Strong strategic, technical, planning, analytical and problem-solving skills with a high level of demonstrated quantitative and finance skills.
- Ability to understand new business and financial models quickly with less than full information.
- Effective style of presenting solutions to all levels across the organization.
- Performs well under pressure in both team and individual settings.
- Collaborative work style. Enthusiastically makes contributions and takes satisfaction in team accomplishments; ability to build relationship and trust with local and remote colleagues.
- Ability to lead and develop others.
- Must be flexible and adaptable in 'real-time' process work environment.
- Business, Commerce or related degree.
- Minimum of 6 years of experience in either a corporate finance, financial planning & analysis role, accounting, investment banking or other relevant experience.
- Experience conducting detailed industry/market research using a variety of sources.
- An in-depth understanding of financial statements and GAAP accounting.
- Candidate must have previous track record demonstrating assumption of increasing levels of responsibility and successful business partnering, including directly or indirectly managing others.
- Proficient in data gathering from cloud through SQL, BI tools (e.g., TM1, Cognos) and budgeting systems (e.g., Anaplan).
- Substantial experience in top ERP systems (e.g., Oracle) and data visualization tools (e.g., Tableau, Power BI).
- Experience working in a fast-paced, complex, global and dynamic environments.
- CA or CPA qualification and/or MBA.