Mike Grant

Mike Grant Email and Phone Number

Corporate Accountant @ Black Cat Syndicate Limited
Ridgewood, WA, AU
Mike Grant's Location
Ridgewood, Western Australia, Australia, Australia
Mike Grant's Contact Details

Mike Grant personal email

About Mike Grant

A highly committed, experienced and results driven Financial Controller with 16 years direct experience in the mining and resources sector, with proven ability to provide key financial data, support and reporting to assist in key business decisions. Having excellent communication skills and able to build strong relationships. Possessing strong financial control and reporting skills ensuring that all statutory and corporate obligations are met.

Mike Grant's Current Company Details
Black Cat Syndicate Limited

Black Cat Syndicate Limited

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Corporate Accountant
Ridgewood, WA, AU
Employees:
68
Mike Grant Work Experience Details
  • Black Cat Syndicate Limited
    Corporate Accountant
    Black Cat Syndicate Limited
    Ridgewood, Wa, Au
  • Leo Lithium Ltd
    Senior Principal Accountant
    Leo Lithium Ltd Aug 2023 - Oct 2024
    Perth, Western Australia, Australia
    Senior Corporate Accountant reporting to the Group Financial Controller and directly responsible for:• Production of 30 June 2023 Appendix 4D Half Year Report. • Production of 31 December 2023 Annual Report.• Production of Finance Memorandum to Audit & Risk Committee Audit Committee dealing with all material accounting issues.• Review of 31 December 2022 and 2023 Income Tax Returns.• Review of monthly management financial reports and balance sheet reconciliations.• Review of monthly site financial reports including stock model and deferred stripping asset.• Production of monthly finance board report.• Preparation of Audit & Risk Committee memos covering Change of Functional & Presentation Currency, IFRS 16 Accounting for Leases: Mining Services & Explosives Contracts, IFRS 5 Assets Held For Sale & Discontinued Operations and IFRIC 20 Stripping Costs in Production Phase of Mine.• Production of monthly report to Ganfeng, Joint Venture partner for the Goulamina Lithium Project in Mali.• Production of Netherlands subsidiary standalone and consolidated financial statements for the years ended 31 December 2022 and 2023.
  • Panoramic Resources Limited
    Business Analyst / Site Accountant
    Panoramic Resources Limited Apr 2023 - Jul 2023
    Perth, Western Australia, Australia
    Business Analyst / Site Accountant reporting to the CFO and responsible for the management of site accounting functions:• Month end management financial reports and balance sheet reconciliations.• Monthly financial reconciliations & analysis.• Preparation of Board financial reporting and analysis for site.• Monthly site / operations reporting and review process.• Preparation and completion of budgets, forecasts and Life of Mine models.• Prepare and manage capital expenditure justification requests.• Maintenance of the chart of accounts, project cost ledger and fixed asset ledger (using Pronto).• Mentor junior accountant.
  • Orecorp Limited
    Group Financial Controller
    Orecorp Limited Sep 2022 - Mar 2023
    Perth, Western Australia, Australia
    Group Financial Controller reporting to the CFO and overseeing all aspects of financial control in the business. Direct and oversee all aspects of the Finance, Accounting and Payroll functions:• Oversee production of Annual & Half-Year Financial Reports and quarterly Appendix 5B – Mining Exploration Entity Quarterly Reports. • Produce memo to the Audit Committee covering key accounting issues & considerations.• Oversee production and audit of Tanzanian subsidiaries Annual Financial Reports.• Oversee Tanzania subsidiaries month-end reporting and accounts payable.• Assist production and review monthly consolidated trial balance.• Oversee Finance Department including Accounts Payable, Banking and Month-End Flash Report.• Oversee responses to Tanzania Revenue Authority tax audit.• Produce Accounting Papers covering accounting issues e.g., valuation of Performance Rights
  • Pilbara Minerals Limited
    Interim Corporate Accountant
    Pilbara Minerals Limited Jun 2022 - Sep 2022
    Perth, Western Australia, Australia
    Interim Corporate Accountant reporting to the Finance Manager and directly responsible for:• Production of 30 June2022 Appendix 4E Annual Audited Report. • Production of 30 June 2022 Statement of Cash Flows.• Preparation of monthly journals and Balance Sheet reconciliations.• Coordinate and oversee the audit process as the primary point of contact for the auditors.
  • Geopacific Resources Limited
    Senior Financial Accountant
    Geopacific Resources Limited May 2022 - Jun 2022
    Perth, Western Australia, Australia
    Senior Financial Accountant reporting to the Financial Controller and directly responsible for:• Production of 31 March 2022 FBT Return. • Production of 31 December 2021 Papua New Guinea subsidiary Annual Report.• Production of 31 December 2021 Papua New Guinea Salaries and Wages Annual Return
  • Gold Road Resources
    Senior Corporate Accountant
    Gold Road Resources Jan 2022 - May 2022
    Perth, Western Australia, Australia
    Senior Corporate Accountant reporting to the Financial Controller and directly responsible for:• Production of 31 December 2021 Appendix 4E Annual Audited Report. • Production of 31 December 2021 & 31 March 2022, quarterly Appendix 5B – Mining Exploration Entity Quarterly Report.• Production of year-end Finance Memorandum to Audit Committee dealing with all material accounting issues.• Treasury including Cash Flow Forecasting.• Purchase Price Allocation and Proforma Balance Sheet for Bidder’s Statement.• Annual corporate insurance renewal.• Assisted with completion of Tax Return.
  • Paladin Energy Ltd
    Group Financial Controller
    Paladin Energy Ltd May 2006 - Sep 2021
    Perth, Western Australia, Australia
    • • Produce 30 June Appendix 4E Annual Audited Report and Operating and Financial Review; Produce 31 December Appendix 4D Half Yearly Financial Report & Operating and Financial Review.• Produce TSX 31 March & 30 September Quarter Financial Report and Management Discussion & Analysis.• Produce quarterly Finance Memorandum to Audit Committee dealing with all material accounting issues.• Produce quarterly News Release.• Assist in production of Bidders Statement for takeovers.• Integration of accounting for companies acquired through takeovers.• Produce quarterly Appendix 5B – Mining Exploration Entity Quarterly Report.• Oversee Finance Department including Payroll, Accounts Payable, Banking and Exploration Reporting.• Oversee site based financial accounting reporting.• Assist Group Tax Manager with tax compliance (BAS, FBT, Tax Returns).• Review Financial Reports of ASX listed subsidiary, Australian and Foreign subsidiaries incorporated in the Netherlands, Canada, Niger, Mauritius, Malawi & Namibia.• Assists production and review monthly consolidated trial balance (over 30 subsidiaries).• Assist production of annual budget and monthly management reports.• Develop & implement appropriate accounting procedures & controls.• Implementation of Pronto ERP software.• Assist Treasurer with Cash Flow Budgeting.
  • Paladin Energy Ltd
    Group Financial Controller
    Paladin Energy Ltd May 2006 - Sep 2021
    Perth, Western Australia, Australia
    Key Achievements• Implementation of Pronto ERP software in May 2020 on time and within budget.• Provided financial information for A$218M Equity Raise in March 2021.• Appointed at the start of a critical growth phase in 2006 when Paladin was constructing its first mine and recruited, trained and retained an appropriately skilled finance team.• Simplified and reorganised the Annual Report resulting in a smaller and more understandable report.• As part of the Finance team restructure in 2021, reduced the cost of producing the monthly payroll by successfully outsourcing the payroll function following the departure of the Payroll Officer.• Reduced annual compliance costs through a corporate simplification project which reduced the number of Australian and Overseas subsidiaries from over 30 to 20.
  • Weatherford
    Commercial Accountant
    Weatherford Aug 2005 - Apr 2006
    Perth, Western Australia, Australia
    Commercial Accountant reporting to Area Financial Controller and directly responsible for:• Preparation of monthly profit and loss account and balance sheet for a Gas Services division of Weatherford reporting to the head office in Singapore;• Monthly Corporate/Regional financial reporting for five product line divisions ensuring adherence to month end timetable for reporting;• Fixed Asset Management – Maintaining Fixed Asset Register, reconciliation of additions, disposals and depreciation schedule, maintained on subsidiary ledger, to general ledger;• Monthly balance sheet reconciliations including determining/reviewing cost allocations and reconciliation of Goods in Transit and Accruals & Prepayment accounts;• Preparation of various schedules & reconciliations for the year end statutory reporting and audit file;• Preparation of monthly overseas operators accruals including potential tax liabilities;• Preparation of schedules for transfer pricing audit;• Oversee and manage graduate accountant;
  • Westcare Inc
    Finance Manager
    Westcare Inc Jun 2005 - Jul 2005
    Perth, Western Australia, Australia
  • State Street Fund Services (Jersey) Ltd
    Client Accounting Services Manager
    State Street Fund Services (Jersey) Ltd Jul 2004 - May 2005
    St. Helier, Jersey
    Client Accounting Services Manager for a portfolio of institutional investment funds, ensuring the provision of a high quality accounting and administration service:• Preparation and Review of Accounting Reports and Valuations produced by client accounting services team;• Responsibility for ensuring all specific client reporting and accounting deadlines are met;• Responsibility for developing and maintaining relationships with all parties who perform an outsourced function;• Dealing with all ad hoc accounting/technical issues that arise in respect of each fund including necessary co-ordination with legal and other professional advisers;• Responsibility for co-ordinating all aspects of service provided including communication with the promoter, investors, investment managers, bankers, custodians, auditors, legal advisers etc.
  • Ogier Fiduciary Services
    Fund Accounting Manager
    Ogier Fiduciary Services Apr 2003 - Jul 2004
    St. Helier, Jersey
    Fund Accounting Manager reporting to the board of Ogier Fund Administration (Jersey) Ltd, responsible for establishing new department and supervision of one member of staff and for all aspects of the accounting and administration of Funds including:• Preparation and Review of Monthly Accounts and Annual Audited Accounts;• Part of team established to draft fund accounting and administration procedures;• Part of a team established to identify and evaluate accounting and administration software;• Responsibility for obtaining Collective Investment Fund functionary permit and on going adherence to continuing obligations;• Responsibility for budgeting, billing and debt collection;• Assisted with various in-house projects including the supervision of a major project to ensure that client accounting targets were met including review of international trading company accounts.
  • Insinger De Beaufort
    Fund Accounting Manager
    Insinger De Beaufort Jan 2000 - Jan 2003
    Road Town, Tortola, British Virgin Islands
    Fund Accounting Manager reporting to the Directors and Insinger de Beaufort Luxembourg, responsible for five staff and for all aspects of the accounting and administration of Mutual Funds including:• Preparation and review of Monthly Accounts and Annual Published Audited Accounts;• Supervision of the Registrar and Transfer Agent service;• Implementation of fund accounting and administration procedures including accounts preparation and subscription & redemption checklist;• Responsibility for the licensing of companies as Mutual Funds under the BVI Mutual Funds Act;• Responsibility for ensuring Mutual Funds remain in good standing with the BVI Registrar of Mutual Funds and the Irish Stock Exchange;• Responsibility for budgeting, billing and debt collecting.
  • Insinger De Beaufort
    Client Accounting Manager
    Insinger De Beaufort Mar 1999 - Dec 1999
    St. Helier, Jersey
    Client Accounting Manager, reporting to the managing director and an executive committee, responsible for eleven staff and for enhancing procedures and systems within the client accounting department including:• Implementation of client accounts preparation procedures including preparation checklist and administrator review checklists;• Implementation of standardised client bookkeeping procedures;• Overall responsibility for recruitment, supervision and overall control and monitoring of the bookkeepers and accounts preparers;• Responsibility for completion of the implementation of recently acquired client accounting software;• Review of use of client accounting software and implementation of new procedures in order to utilise the package more effectively.
  • International Management Trust Fiduciary Services Ltd
    Financial Controller
    International Management Trust Fiduciary Services Ltd Aug 1996 - Mar 1999
    St. Helier, Jersey
    Financial Controller reporting directly to the Managing Director, responsible for six staff and for a wide range of duties including:• Preparation of the year-end consolidation of the IMT Group of Companies (45 in total);• Overall responsibility for billing and debt collection;• Providing financial management information to the board ;• The recruitment and supervision of the six members of staff in the finance department;• Overall responsibility for the preparation and review of all client’s annual accounts;• Overall responsibility for the implementation of new accounting computer software package.
  • Reads & Co. Chartered Accountants
    Audit Manager
    Reads & Co. Chartered Accountants Sep 1994 - Jul 1996
    St. Helier, Jersey
    Audit Manager reporting to the Audit Partners and responsible for a wide range of duties including: Planning and controlling audit assignments; Preparation of Review Memorandum and Management Letter at end of each assignment; Statutory accounts preparation; Supervision of trainees and the review of their work
  • Johnstone Howell & Co. (Chartered Accountants)
    Qualified Accountant
    Johnstone Howell & Co. (Chartered Accountants) Mar 1991 - Sep 1994
    Liverpool, England, United Kingdom
    Qualified Accountant reported to the Partners and responsible for a wide range of duties including: Planning and controlling audit assignments; Budget and accounts preparation; Supervision of trainees and the review of their work; Responsibility for own portfolio of clients and for conducting meetings with clients.
  • Pkf International
    Trainee Accountant
    Pkf International Aug 1987 - Mar 1991
    Liverpool, England, United Kingdom
    Trainee Accountant responsible to the Audit Manager for a range of duties including: Full accounts preparation; Audit assignments; Incomplete records assignments; Management accounts.

Mike Grant Education Details

Frequently Asked Questions about Mike Grant

What company does Mike Grant work for?

Mike Grant works for Black Cat Syndicate Limited

What is Mike Grant's role at the current company?

Mike Grant's current role is Corporate Accountant.

What is Mike Grant's email address?

Mike Grant's email address is mi****@****ail.com

What schools did Mike Grant attend?

Mike Grant attended Association Of Chartered Certified Accountants (Uk), Edith Cowan University, The Manchester Metropolitan University.

Who are Mike Grant's colleagues?

Mike Grant's colleagues are Tien Tran, Joanna Turner, Matt Anderson, Belinda Jones/appeal Catering, Daniel Holt, Craig Metcalfe, Mark Davies.

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