Intern, Supply Chain (8 Months) at Seaspan ULC
North Vancouver, BC, Canada -
Full Time


Start Date

Immediate

Expiry Date

22 Jul, 25

Salary

26.0

Posted On

19 Jun, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Supply Chain, Power Bi, Financial Concepts, Sharepoint, Business Analytics, Finance

Industry

Information Technology/IT

Description

Through the National Shipbuilding Strategy (NSS), the Government of Canada has embarked on one of the largest procurement projects since the Second World War. The NSS is a nation-building effort to create a sustainable Canadian shipbuilding industry, secure long-term job opportunities and build the next generation of ships for the Canadian Coast Guard and Royal Canadian Navy. Through its NSS–related work, Seaspan Shipyards is owning the redevelopment of our domestic shipbuilding industry on the West Coast and delivering on the promise of ships built in Canada, by Canadians.
The Project Engineer Intern is responsible for supporting a multi-disciplinary engineering team to drive the delivery of the engineering work from design, functional design, detail design, planning, construction and ultimately to achieve acceptance, ensuring that all engineering scope of work for the project is completed, to meet cost and schedule requirements. The role provides a comprehensive project view to support engineering teams meet their commitments, and address issues, mitigate risks and improve opportunities. The position reports to the Senior Manager, Project Engineering.

Responsibilities
  • Provide bi-weekly reports for subcontract expenditure and follow up on invoice movement on multiple dimensions
  • Compile information and prepare reports for project commitments
  • Track forecasted late spend and expedite purchase order promise delivery date updates
  • Follow project lifecycle categories with major spend for validation of project costing
  • Reconcile financial data sources for warehouse receipts and invoice payments
  • Expedite missing invoices and work achievement documents in systems
  • Review, consolidate and report on data sources for financial reporting
  • Update databases and generate reports in Excel and Power BI in support of project financial controls
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