Danielle Grigg

CEO and Founder at DMG Business Solutions - The Integrated CFO
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Contact Information
us****@****om
(386) 825-5501
Location
AU

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Experience

    • Australia
    • Accounting
    • 1 - 100 Employee
    • CEO and Founder
      • Jan 2022 - Present

    • Founder and Principal
      • 2016 - Jan 2022

      Since 2016, we have been helping businesses with their accounting matters including auditing financial documents and procedures, reconciling bank statements and calculating tax payments and returns.We understand business big and small and what meaningful support represents.At DMG Business Solutions, we are renowned for our attention to detail, trustworthy and reliable advice and our deadline orientation.That is just the start. We see our role at DMG Business Solutions, as an advisory one, helping businesses understand how taxes, revenues and expenses can be best managed for long term success.

    • Australia
    • Hospitals and Health Care
    • 700 & Above Employee
    • Senior Business Analyst - (HR & Corporate) & Assistant Budget Controller - Part Time
      • Jan 2015 - Jan 2022

    • Australia
    • Hospitals and Health Care
    • 700 & Above Employee
    • Senior Business Analyst - Part Time
      • Jun 2013 - Dec 2013

    • Australia
    • Hospitals and Health Care
    • 700 & Above Employee
    • Senior Business Analyst/Team Co-Ordinator – Salaries & Wages Team
      • Oct 2011 - Aug 2012

    • Senior Business Analyst - Clinical Governance & Finance & Logistics
      • May 2010 - Oct 2011

      Responsible for:• Working closely with the Business Manager;• Working with Senior Management including Executive Director of the Business Unit of responsibility in both an advisory and technical capacity;• Providing leadership and direction to the Business Analyst team;• Execute the Service Level Agreements in place for Business Units of responsibility;• Execution of change initiatives and improvement programs as directed by Business Manager for you business unit of responsibility;• Execution of better practice financial/business analysis practices and processes as defined within Finance policies and procedures;• Reporting to and advise Business Manager of Business Units specific financial issues and changes as well as recommendations for improvement;• Providing accurate and timely financial analysis of your business unit of responsibility both in a routine and ad hoc capacity;• Processing of journals both in a routine and ad hoc capacity;• Provide monthly reports and detailed analysis including financial analysis, budget analysis and KPI reporting.• Conduct detailed cost analysis and modelling.• Execute the budget process as directed by the Budget Controller and Business Manager and provide recommendations for change. • Attend business unit meetings as required• Work with the business units in the development and implementation of objectives and targets• Contribute to the development of business cases and CAPEX requests.• Motivate and develop Business Analyst staff, establish lines of control and delegate responsibilities to direct reports.• Identify opportunities to increase efficiencies and to improve processes and providing recommendations to Business Manager.

    • Australia
    • Hospitality
    • 700 & Above Employee
    • Management Accountant (contract)
      • Mar 2010 - May 2010

      - Financial analysis including customer profitability and event profitability variance reporting - Ad hoc reports and reviews of chart of accounts line items - Support team including Finance Manager and Management Accountant in day to day tasks - Financial analysis including customer profitability and event profitability variance reporting - Ad hoc reports and reviews of chart of accounts line items - Support team including Finance Manager and Management Accountant in day to day tasks

    • Management Accountant
      • Oct 2007 - May 2009

      • Manage completion of monthly accounts for 15+ companies including foreign subsidiaries for the following departments: o Theatre Production o Merchandising o Record Royalties o Music Publishing o Amateur Dramatics o Film Royalties o Digital Marketing o Overheads; & o Interest & Financing • Comprise monthly Management Accounts package including narrative • Manage and maintaining chart of accounts • Work with Finance team to manage & comprise quarterly balance sheet reconciliation reports including Production investments, work in progress, merchandise & music stocks as well as Theatre, Recording and Publishing and Amateur Dramatic advance accounts. • Work with Senior Finance team to consolidate Production and Royalty accounts into the Group Consolidation Pack including statutory P&L, Balance Sheet and Cash Flow as well as detailed management accounts view of these 3 primary statements. • Responsible for the preparation of the Group year end audit files. • Primary source of information and control with regard to corporation tax computations. • Manage Purchase, Sales & Cash Ledger Clerks including working with them to review supplier statement reconciliations, aged debtor and creditor review and recharge accounts with intercompany & third party accounts. • Manage and review intercompany accounts reconciliation including cross currency intercompany balances and related exchange rate adjustments. • Working closely with Financial Controller & Chief Accountant on reviewing & narrating Budgeting and Forecast plans. • Liaison with Financial Director, Chief Accountant (Production and Royalty), Financial Controller (Production and Royalty) and senior Finance team on ad hoc projects and analysis.

    • Financial Services
    • 1 - 100 Employee
    • Assistant Financial Controller (contract)
      • Jun 2007 - Aug 2007

      • Reporting to Financial Controller regarding the production of monthly management accounts and other ad hoc items • Monthly variance analysis • Preparation of balance sheet reconciliation reports • Preparation and entry of payroll, pension, employee insurance benefits etc journals • Responsible for cash management including debtor payments • Liaison with Financial Director, Accounts Payable and Receivable clerks on ad hoc items • Reporting to Financial Controller regarding the production of monthly management accounts and other ad hoc items • Monthly variance analysis • Preparation of balance sheet reconciliation reports • Preparation and entry of payroll, pension, employee insurance benefits etc journals • Responsible for cash management including debtor payments • Liaison with Financial Director, Accounts Payable and Receivable clerks on ad hoc items

  • Persil Services. Limited
    • London, United Kingdom
    • Management Accountant
      • Feb 2007 - May 2007

      • Produce monthly management accounts reporting pack and associated analyses, variance reports etc, at company and store level • Review performance & measurement of approx. 80 stores against targets and raise issues and insights • Monthly reporting on inventory levels and accounting for closing stock • Preparation of monthly balance sheet reconciliations • Credit control and debtor management • Review over company AMEX statements • Preparation of journals • Preparation of Sales Invoices

    • Financial Services
    • 1 - 100 Employee
    • Financial Accountant
      • Jul 2006 - Dec 2006

      • Reporting to the Financial Controller regarding the preparation of financial reporting for management on a monthly basis for the ‘Broking’ division of the company • Working with external members of the team to ensure accurateness of management accounts • Maintaining and managing reconciliations of all Balance Sheet items • Maintaining and managing the preparation of the Profit & Loss Statement • Preparation of Variance Analysis on a monthly basis • Working closely with AP with regards to suppliers invoices including review • Working closely with AR on particular customer invoices to ensure completeness and accurateness • Review of employee expense claims ensuring the correct FBT treatment • Assist other management team members with ad hoc analysis and report requirements as necessary • Preparation and review of journals

    • Australia
    • Accounting
    • 1 - 100 Employee
    • Accountant - Business Services & Taxation
      • Nov 2003 - Jun 2006

      • Preparation of management accounts for Companies, Trusts, Superannuation Funds, Partnerships and Sole Traders in line with regulatory requirements. • Completion of Taxation Compliance requirements for Companies, Trusts, Superannuation Funds, Partnerships, Sole Traders and Individuals. • Preparation and monitoring of account reconciliation’s. • Investment reporting and Management. • Taxation Planning and Advice. • Completion of Business Activity, Installment Activity and Fringe Benefit Statements. • Completion of UK VAT reporting requirements for UK based clients. • Finance Applications. • Assist clients in day-to-day queries. • Mentor and Manager of Industry Based Learning Junior Accountant.

  • Draper Dillon Pty Ltd
    • Melbourne, Australia
    • Graduate Accountant
      • Jan 2003 - Nov 2003

      • Preparation of management accounts for Companies, Trusts, Superannuation Funds, Partnerships and Sole Traders in line with regulatory requirements. • Completion of Taxation Compliance requirements for Companies, Trusts, Superannuation Funds, Partnerships, Sole Traders and Individuals. • Completion of Business Activity, Installment Activity and Fringe Benefit Statements. • Preparation of management accounts for Companies, Trusts, Superannuation Funds, Partnerships and Sole Traders in line with regulatory requirements. • Completion of Taxation Compliance requirements for Companies, Trusts, Superannuation Funds, Partnerships, Sole Traders and Individuals. • Completion of Business Activity, Installment Activity and Fringe Benefit Statements.

    • Accounting
    • 1 - 100 Employee
    • Undergraduate Accountant
      • Nov 2001 - Nov 2002

      • Preparation of management accounts for Companies, Trusts, Partnerships and Sole Traders in line with regulatory requirements. • Completion of Taxation Compliance requirements for Companies, Trusts, Partnerships, Sole Traders and Individuals. • Completion of Business Activity, and Installment Activity Statements. • Preparation of management accounts for Companies, Trusts, Partnerships and Sole Traders in line with regulatory requirements. • Completion of Taxation Compliance requirements for Companies, Trusts, Partnerships, Sole Traders and Individuals. • Completion of Business Activity, and Installment Activity Statements.

Education

  • The Institute of Chartered Accountants
  • LaTrobe University
    Bachelor of Commerce (B.Com.)
    2000 - 2002
  • Sacred Heart College, Kyneton
    VCE

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