Primary Responsibility
Responsible in financial management activities, which include cash flow planning, forecasting, budgeting, cost accounting, audit, fixed asset management
Prepare the monthly financial reports, prepare monthly management accounts
Clean up and reconcile existing monthly management accounts
Create, access and improve internal controls
Prepare and review company budgets, forecasts, P&L, cash flow
Provide financial information and analysis to the financial controller in Malaysia as requested
Ensure sufficient operating funds are available for timely settlement of payables and wages
Ensure all month end close activities and review of the financial statements are completed timely and accurately
Planning and managing cash flow requirements for AR and AP
Ensure the entire company is in compliance with all audit requirements
Liaise with and respond to queries pertaining to the company from various entities and to ensure all responses are within the established deadline
Plan and manage workload within the Company to ensure proper execution of tasks and meet the established objectives
Complete and review tax returns
Help manage the general ledger
Qualification
Qualification
6+ years of experience working at relevant industries
No issue working past ordinary work hours and weekends
Good people management, analytical skills, and ability to work along with others in team setting
Experience working with teams in other countries in SE Asia preferred
Business degree or CPA certification
Audit experience required
Fluency in English (both written and spoken)
Ability to handle pressure and meet tight deadlines
Willing to travel to other countries for training and setup
Proficient in MS Office applications
Based in Pancoran, Jakarta
Informasi lebih lanjut
Bidang Pekerjaan |
Status Kepegawaian |
Perencana/Analisis Keuangan
|
Full-Time
|
Pendidikan Terakhir |
Gaji |
Sarjana/S1
|
Sesuai Peraturan Perusahaan
|
Tingkat Jabatan |
|
Manager
|
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|
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