Bachelor's Degree in Economics, Accounting, or Finance.
Minimum of 5–10 years of experience in accounting/finance. Prior audit experience at one of the Big 4 public accounting firms is preferred.
Strong understanding of accounting standards (SAK/IFRS/GAAP), taxation, and ERP (Enterprise Resource Planning) systems.
Possess strong analytical skills and high attention to detail.
Ability to lead and work effectively both in a team and independently.
Job Description:Fully responsible for the preparation of monthly financial statements and detailed reports, as well as quarterly and annual reports, ensuring accuracy and timeliness.
Manage financial data and coordinate with the team for reporting to the parent company.
Handle financial coordination, including managing relationships related to financing needs, credit facilities, and other treasury transactions.
Review, coordinate, and supervise the company's financial transactions and activities to ensure proper reporting to the parent company.
Project cash flow by preparing cash flow projections to ensure the company has sufficient liquidity for operations.
Oversee daily accounting processes, ensuring that daily accounting activities such as payments, billing, and transaction recording run smoothly.
Demonstrate leadership and communication skills to lead a team and communicate effectively with all levels of management, including presenting complex financial reports in a clear and understandable manner.