Finance Business Partner at GDay Group
Adelaide SA 5000, , Australia -
Full Time


Start Date

Immediate

Expiry Date

24 Sep, 25

Salary

0.0

Posted On

25 Jun, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Financial Services

Description
  • Be part of the growth of an Australian success story
  • Full time, permanent position, based in Adelaide CBD
  • Access to great discounts, hybrid working and a bonus scheme

ABOUT US

At G’day Group, Australia’s largest regional hospitality provider, our Support Office team is at the heart of innovation, powering the success of over 300 unique locations across Australia. From technology and development to marketing and operations, our diverse roles offer opportunities to shape the future of travel with creativity, strategic thinking, and a collaborative spirit.
We provide a dynamic environment where professionals can thrive with the flexibility to balance work and life, while contributing to a company that prioritizes growth, employee wellbeing, and excellence.
If you’re a forward-thinking professional eager to make a real impact, G’day Group is the place to elevate your career.

Responsibilities

Reporting to the Manager – Financial Planning & Analysis, this role will support Discovery Holiday Parks’ Finance and Operations Teams by providing financial insights, analysis and strategic guidance to support key business decisions. Working closely with the senior leadership team, you will be responsible for partnering with operational stakeholders to optimise financial performance, drive profitability, and identify opportunities for growth.

Responsibilities:

  • Act as a strategic partner to operational stakeholders, providing monthly P&L reporting and analysis and reporting, financial guidance and insights to support decision-making
  • Collaborate with operational teams to develop annual budgets and bi-annual forecasts aligned with business objectives
  • Monitor and analyse financial performance, identifying trends, risks, and opportunities for improvement
  • Provide accurate and timely financial reports, including variance analysis and KPI tracking to management and stakeholders
  • Conduct financial modeling and scenario analysis to evaluate potential business initiatives and investment opportunities
  • Assist with the development and implementation of financial policies, procedures, and controls
  • Proactively identify process improvements and drive initiatives to streamline financial operations and enhance efficiency
  • Collaborate with cross-functional teams to drive cost optimisation, revenue enhancement, and profitability initiatives
  • Stay updated with industry trends, regulations, and best practices to ensure compliance and mitigate financial risks
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