Senior Credit Analyst at LinkedIn
Sydney, Australian Capital Territory, Australia -
Full Time


Start Date

Immediate

Expiry Date

26 Nov, 26

Salary

0.0

Posted On

28 Aug, 26

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

Yes

Skills

Industry

Banking & Credit

Description

Senior Accountant

Creating FutureScape - Solution for a Better Sustainable World

Samsung C&T's Engineering & Construction Group is a leading engineering, procurement and construction company, built on core principles of safety, integrity, trust, authenticity & challenge. We have worked diligently to deliver the best value-added services to our clients by utilizing our top-tier talent and technical expertise in diverse fields such as architecture, civil engineering, plant, housing & green energy businesses.


By bringing together the most exceptional technology and capabilities, we create solutions for a better world and achieve sustainable growth. Samsung C&T's Engineering & Construction Group is a leading engineering, procurement and construction company, built on core principles of safety, integrity, and appreciation. Samsung C&T has long been active in the green energy business and continues to explore additional innovative renewable energy solutions.


We are seeking an experienced Senior Accountant to join our team in Sydney.


About the Role


Financial Reporting & Closing

  • Manage monthly, quarterly and year-end closing processes and ensure timely reporting to headquarters
  • Prepare statutory and management financial reports
  • Maintain accurate general ledger and supporting documentation

Project Accounting & Cost Allocation

  • Monitor project costs and ensure accurate cost allocation to projects and cost centres
  • Manage allocation of shared services and overhead costs across multiple projects
  • Work closely with project teams to review and analyse cost performance and variances
  • Prepare finance-related documentation for tender submissions, prequalification processes and project bids
  • Prepare budgeting, forecasting, and financial analysis

Treasury & Cash Management

  • Prepare and maintain cash flow forecasts and manage banking activities to support operational and project funding requirements
  • Coordinate payments, bank transactions and cash management activities
  • Liaise with banks regarding banking facilities, guarantees and financial matters
  • Manage payment runs and banking transactions

Financial Control & Governance

  • Maintain internal control framework in line with group standards
  • Monitor financial risks and recommend process improvements
  • Ensure appropriate cost control procedures across projects


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Responsibilities
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