04 Aug
|
Versatile Group
|
Sydney
04 Aug
Versatile Group
Sydney
Project Accountant | Treasury, Planning & Analysis
About Us
Versatile Group is one of Australia's fastest-growing integrated property and construction groups, delivering high-quality residential, mixed-use, commercial fit-out, defence and education projects.
Our vertically integrated model allows us to manage every stage of the project lifecycle—from development and design through to construction and delivery—giving our people greater ownership, faster decision-making and the opportunity to make a genuine impact.
As we continue to grow, we're looking for an experienced Treasury, Planning & Analysis Analyst with a background in treasury, cash flow forecasting or financial planning to join our Finance team.
About the Role
Reporting to the Group Treasure, you'll own the Group's daily liquidity, cash flow forecasting and treasury operations—giving leadership a clear, real-time view of our current and future financial position.
Working closely with operational, project and finance teams, you'll manage cash and banking, support funding requirements, maintain bank guarantees and deliver sharp financial analysis that informs strategic decisions across the Group.
Essential Requirement To be considered for this role, you must have previous accounting experience within the construction, property development, engineering or infrastructure sectors. Applications without relevant industry experience will not be considered.
What You'll Be Doing
- Manage the Group's daily liquidity position, bank balances and set-off arrangements.
- Maintain banking systems and process trade finance, FX and ad hoc payments.
- Evaluate financing alternatives and funding strategies to support growth and project delivery.
- Build and refine Group cash flow forecasting models across operational, project and corporate drivers.
- Support budgeting, planning and forecasting processes, ensuring quality inputs.
- Partner with business units on project pipelines, working capital needs and forecast accuracy.
- Track working capital—receivables, payables, inventory, cash conversion—and unlock liquidity gains.
- Manage bank guarantee issuance, amendments, cancellations and registers.
- Leverage technology to streamline treasury reporting and processes.
- Build strong cross-functional relationships, turning project-level data into Group-level insight.
About You
You'll bring
- Degree in Finance, Accounting, Commerce or a related discipline.
- Solid experience in treasury management, cash flow forecasting and liquidity planning.
- Strong financial modelling and analytical skills.
- Explicit understanding of three-way financial statements and how profit, balance sheet and cash flow interact.
- Experience in budgeting, forecasting, variance analysis and management reporting.
- Ability to translate operational and project data into meaningful financial insight.
- Strong stakeholder management and communication skills.
- Advanced Excel skills and experience with financial reporting or BI tools.
- High attention to detail and comfortable juggling multiple priorities in a fast-paced environment.
Why Join Versatile Group?
- Be part of one of Australia's fastest-growing integrated property and construction businesses.
- Join a collaborative, high-performing finance team with genuine opportunities for career growth.
- Build your career somewhere you'll have real ownership and impact.
If you're an experienced treasury or financial planning professional looking for your next move within a growing construction business, we'd love to hear from you. Apply now with your CV and a brief cover letter outlining your relevant experience.
📌 Project Accountant - Construction and Property Development Sector (Sydney)
🏢 Versatile Group
📍 Sydney