Provide specialised domain knowledge in Superannuation Cash, Reconciliations, Operational processes, Investments, and Liquidity to identify current and future state processes, workflows, and systems
Validate requirements, conduct gap analysis, and collaborate with stakeholders to prioritise and address business needs
Support solution design ensuring alignment with business objectives such as efficiency, compliance, and scalability
Lead testing and quality assurance activities including review of test scenarios, acceptance criteria, and defect triage
Act as a liaison between technology, testing teams, and business users to manage change, communicate progress, and support rollout and optimisation
Requirements
CPA/CA qualification or equivalent business experience
Extensive knowledge of Superannuation fund operations, treasury, and accounting
Strong reconciliation and analytical skills with understanding of finance and source systems interactions
Excellent communication, presentation, and interpersonal skills with ability to influence and negotiate
Ability to prioritise workload and work effectively within a team environment