We are looking for a Senior Treasury Financial Accountant to join our Corporate Finance team in Australia for a 12-month fixed term contract.When you work for us, you get the chance to join nearly 50,000 people all driven by a common purpose – delivering a more sustainable world. We’re excited about the challenges ahead. If you ask us, there’s never been a more rewarding time to work in the energy, chemical and resources sectors.We offer a flexible approach to working, because our people are safer, healthier, and more productive when they can balance work with life. That’s why we offer flexible and hybrid working options, so you can choose when, where and how you work.As a Senior Treasury Financial Accountant, you will complete Treasury Middle Office and corporate reporting, balance sheet reconciliations, settlement and other month end tasks. We are looking for an individual who can work in a fast-paced environment, meet tight deadlines and enjoys direct engagement with a variety of stakeholders and customers.Who we areWorley is a global professional services company of energy, chemicals and resources experts headquartered in Australia.Right now, we’re bridging two worlds as we accelerate to more sustainable energy sources, while helping our customers provide the energy, chemicals and resources that society needs now.We partner with our customers to deliver projects and create value over the life of their portfolio of assets. We solve complex problems by finding integrated data-centric solutions from the first stages of engineering and consulting to the last stages of installation and commissioning.Join us and help drive innovation and sustainability in our projects.What you’ll do
- Perform and oversee month-end closing, focusing on balance sheet reconciliations.
- Address intercompany issues, tax queries, and audit confirmation for Group Finance.
- Conduct monthly variance analysis for corporate Profit/Loss and planning for corporate entities.
- Prepare treasury reports for debt movement, foreign exchange and interest analysis.
- Reconcile performance rights, hedge reserves, and financial analysis to support management decision making.
- Manage CAPEX schedule for capitalised borrowing and engage in tax discussions.
- Lead projects, participate in audits, and prepare financial accounts.
- Engage and collaborate with front office to support the business requirements for Treasury services.
- Annual rollover for intercompany loan principal and interest capitalization.
- Bachelor’s degree in accounting.
- CA or CPA qualified.
- Relevant experience working in a large complex organisation for statutory reporting.
- Strong financial accounting and reporting experience with expertise in balance sheet reconciliation processes.
- Ability to focus on meeting deadlines and take a proactive approach to problem solving.
- Excellent verbal & written communications skills and the ability to confidently engage with internal customers and key stakeholders.
- A high level of proficiency with Microsoft Excel and familiarity with ERP and BI environments (Quantum and HFM is a plus).
- Join a fun and inclusive, global team of professionals.
- Great exposure to corporate processes in an ASX-listed company.
- Flexible work environment.
- We foster a diverse workplace where we look out for one another - Our values guide, align and stretch our people.
- Competitive remuneration & benefits package.