Senior Payments Operations Specialist at EasyGo Properties
Sydney, New South Wales, Australia -
Full Time


Start Date

Immediate

Expiry Date

16 Dec, 26

Salary

85000.0

Posted On

17 Sep, 26

Experience

1 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Industry

Information Services

Description
  • ash Flow and LiquidityOwn the cash flow forecast, reconcile to actuals on a periodic basis, and maintain it as an accurate, dynamic view of the organisation's cash flow position
  • Own the liquidity model, ensuring sufficient runway and flagging risks proactively
  • Manage treasury operations including cash management, bank relationships, and FX exposure where applicable
  • Support funding activities as required


  • Long-Range Planning and Scenario AnalysisLead the development and maintenance of the long-range financial planning model, enabling capital planning and scenario analysis
  • Support the development of the company's financial framework and translate framework and strategic business objectives into financial projections and scenario models
  • Extract insightful commentary from long-term planning processes, useful for management and Board consumption


  • Investor & Board ReportingProvide support in maintaining the company's financial model for investor valuations, keeping it current, accurate, and well-documented
  • Assist in preparing investor-facing financial materials, board packs, and financial schedules as required
  • Maintain accurate and consistent financial data used for external reporting
  • Support due diligence processes for capital transactions as required


  • Business PartneringCollaborate with the business and the FP&A Manager to keep the long-range plan and operational forecasts aligned
  • Serve as the key financial modelling and analytical resource in supporting business decisions
  • Work collaboratively with the rest of the Finance team and broader business


Skills & Experience

  • Proven xperience in strategic finance, decision support, corporate finance, treasury, or a financial modelling-intensive role
  • Exceptional financial modelling skills — must be able to build and maintain complex, integrated 3-statement models while exercising financial modelling best practice
  • Strong understanding of balance sheet, cash flow, and capital structure
  • Ability to work with a high degree of autonomy and own workstreams end-to-end
  • Strong commercial acumen and ability to frame financial analysis in a business context
  • Excellent communication and presentation skills, including the ability to present to senior stakeholders

y.

Responsibilities


About Novon

Novon is a specialist Data and Engineering consulting company with more than 10 years of experience delivering successful data outcomes for major Australian organisations.

As our Data Practice continues to grow, we are looking for experienced Data Engineers to design, build and deliver modern data platforms and scalable data solutions.


The Opportunity

As a Data Engineer at Novon, you will design and develop reliable data pipelines, integration services and cloud-based data platforms. You will work across the full engineering lifecycle, from solution design and development through to testing, deployment, optimisation and ongoing support.


What We Are Looking For

· At least six years of commercial Data Engineering experience.

· Strong development experience using Python and SQL.

· Hands-on experience with one or more modern cloud data platforms, including Databricks or Snowflake.

· Experience developing transformation pipelines using dbt.

· Experience designing and managing data workflows using Apache Airflow or similar orchestration tools.

· Strong experience with distributed data processing using Apache Spark or PySpark.

· Experience building streaming or event-driven solutions using Apache Kafka.

· Strong understanding of ETL and ELT design patterns.

· Experience with data modelling, data warehousing and lakehouse architectures.

· Experience working with cloud environments such as AWS or Azure.

· Clear communication skills and the ability to work with technical and non-technical stakeholders.

  • ash Flow and LiquidityOwn the cash flow forecast, reconcile to actuals on a periodic basis, and maintain it as an accurate, dynamic view of the organisation's cash flow position
  • Own the liquidity model, ensuring sufficient runway and flagging risks proactively
  • Manage treasury operations including cash management, bank relationships, and FX exposure where applicable
  • Support funding activities as required


  • Long-Range Planning and Scenario AnalysisLead the development and maintenance of the long-range financial planning model, enabling capital planning and scenario analysis
  • Support the development of the company's financial framework and translate framework and strategic business objectives into financial projections and scenario models
  • Extract insightful commentary from long-term planning processes, useful for management and Board consumption


  • Investor & Board ReportingProvide support in maintaining the company's financial model for investor valuations, keeping it current, accurate, and well-documented
  • Assist in preparing investor-facing financial materials, board packs, and financial schedules as required
  • Maintain accurate and consistent financial data used for external reporting
  • Support due diligence processes for capital transactions as required


  • Business PartneringCollaborate with the business and the FP&A Manager to keep the long-range plan and operational forecasts aligned
  • Serve as the key financial modelling and analytical resource in supporting business decisions
  • Work collaboratively with the rest of the Finance team and broader business


Skills & Experience

  • Proven xperience in strategic finance, decision support, corporate finance, treasury, or a financial modelling-intensive role
  • Exceptional financial modelling skills — must be able to build and maintain complex, integrated 3-statement models while exercising financial modelling best practice
  • Strong understanding of balance sheet, cash flow, and capital structure
  • Ability to work with a high degree of autonomy and own workstreams end-to-end
  • Strong commercial acumen and ability to frame financial analysis in a business context
  • Excellent communication and presentation skills, including the ability to present to senior stakeholders


Loading...