Job description:
About John Holland: At John Holland, our purpose is simple, we transform lives with everything we do. We've always known that at its heart, infrastructure is about people - our customers, our employees, and their communities in which we work. That's our difference. Deep experience and capability with a genuine care about creating better lives for people along the way. Be part of a team that thrives on rising to the challenge of transforming lives for good. About Beerburrum to Nambour (B2N) Rail Stage 1 Project: John Holland and Seymour Whyte have been engaged to deliver the Beerburrum to Nambour (B2N) Rail Upgrade (Stage 1) project. The project is set to increase the capacity and reliability of the North Coast Line, enabling more efficient travel and improved passenger and freight connections between the Sunshine Coast, Moreton Bay, Brisbane and beyond. As construction of B2N gets under way, John Holland is actively looking for a talented Senior Finance Manager to join the team and play a key role in the successful delivery of this iconic Sunshine Coast project. About the Position: We are seeking an experienced Senior Finance Manager to lead the financial management of the Beerburrum to Nambour Rail Upgrade project. This is a senior leadership role responsible for end‑to‑end financial governance, reporting, cost control and compliance on a major infrastructure project. You will lead a team of finance specialists and partner closely with project leadership, joint venture partners and external stakeholders to ensure strong financial outcomes, effective risk management and compliance with statutory and contractual requirements. Key Duties & Responsibilities Lead and manage a specialist finance team providing end‑to‑end financial management across the project Oversee all financial reporting, ensuring compliance with statutory, contractual and internal governance requirements Develop, implement and maintain project‑level accounting standards, policies, procedures and controls Lead project budgeting, forecasting, cost control and cash flow management activities Ensure accurate and timely month‑end reporting, including accruals, earned value reporting and partner reconciliations Prepare and present monthly