Project Accountant - SAP & Cost Control Specialist

PetroSea

Jakarta Pusat

On-site

IDR 111,600,000 - 167,400,000

Full time

6 days ago
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Job summary

PetroSea is seeking a Finance and Accounting professional to support project financial reporting and timely, accurate information. The role focuses on revenue estimates, subcontractor and supplier costs, A/R management, and ensuring contract compliance.

Responsibilities include invoicing management, variation claims, and monitoring cash receipts. The role also covers contract-based financial implications and ongoing project account setup with SHE program implementation.

Qualifications

  • Bachelor's Degree in Finance or Accounting is required.
  • Experience in finance and accounting for projects is preferred.
  • Familiarity with SAP accounting system is essential.

Responsibilities

  • Monitor day to day F and A operations for projects, including revenue estimates, major subcontractor and supplier costs, A/R collection, and contingencies.
  • Invoicing management including variation claim monitoring, rise and fall billing, and ensure all has been claimed and submitted to Client as per contract terms; monitor cash receipt of invoices.
  • Identify financial implications in contractual clauses and provide new concepts or feedback.
  • Monitor completion of F and A requirements for new project account setup; ensure accuracy.
  • Maintain and implement SHE programs, ensure ISO 14001, ISO 45001, SMK3/SMKP standards are met and SHE risks are well managed.

Skills

Accounting knowledge
SAP
Cost accounting
Attention to detail
Report deadlines
Site project exposure
English language

Education

Bachelor's Degree in Finance or Accounting

Tools

SAP accounting system

Job description

PetroSea is seeking a Finance and Accounting professional to support project financial reporting and timely, accurate information. The role focuses on revenue estimates, subcontractor and supplier costs, A/R management, and ensuring contract compliance.

Responsibilities include invoicing management, variation claims, and monitoring cash receipts. The role also covers contract-based financial implications and ongoing project account setup with SHE program implementation.

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