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  • Job reference: RMS0161175

Management Accountant

  • Sector: Oil & Gas
  • Location: Perth
  • Job type: Contract
  • Date posted: 25/09/2015
This vacancy has now been filled.

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The Company:
Our Client is an independent Australian oil and gas company playing a key role in supplying energy to our region.

They are one of the world’s leading producers of liquefied natural gas, helping meet the demands for cleaner energy from Japan, China, Korea and other countries in the Asia Pacific region.

The Role:
A position has become available for an experienced Management Accountant to join a leading Oil and Gas Operator for a 6 month contract. The primary purpose of the position is to ensure the complete provision of people cost management activities to Business Units and Functions. Each Management Accountant will need to build and maintain positive relationships with their customers by providing information and quality reports on their service area.

Responsibilities include but may not be limited to:

•Service asset management accounting and ensuring the service asset ledger is materially correct
•Provide support to the relevant Business Partners
•Focusing efforts to improve the delivery of services and processes that meets the customer’s requirements
•A basic understanding of the Exploration and Production (E&P) lifecycle and the cost flows relating to the various assets and corporate functions.
•Effective communication skills across a broad range of internal finance and non-finance personnel.
•Strong financial and analytical skills
•Improvement mindset to continuously optimise processes
•Performing analysis, on the specific portfolio, to determine expenditure trends and advising suitable courses of action for improvement; and
•Support Finance Functional projects and ensure the Centralised Accounting Team’s requirements are considered and/or incorporated into any recommendation.
•Advising the relevant Business Partners of cost forecasts and annual budgets
•Preparation of budget and both long and short term forecasts for the relevant Business Partners
•Assisting in the reconciliation of resources between service and expenditure.
•Provision and analysis of quality service asset reporting including meeting with the relevant Business Partner to track actual performance to budget and forecast
•Calculation and recognition of month end accruals;
•Provision and analysis of quality spend under management reporting and forecasting;
•Managing residuals and executing the residual clearing process in accordance with Finance guidelines
•Quarterly review and amendment of assessment cycles

Essential Skills / Qualifications:
•Professional qualification (CA/CPA or equivalent) or studying towards.
•2-5 Years Professional Experience
•FinPlan/ Hyperion Essbase
•Business Objects
•General - MS Excel, MS Word and PowerPoint
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