Job Description
<Job Responsibilities> - Manage monthly, quarterly, and year-end closing, including preparation of financial statements in compliance with PSAK/IFRS - Perform balance sheet reconciliations, variance analysis, and ensure accuracy and integrity of financial data - Act as the main liaison for internal and external audits, ensuring audit readiness, complete documentation, and timely resolution of audit findings - Prepare and review tax filings (including Corporate Income Tax Return/CITR) and monthly tax reports, ensuring compliance with local regulations and transfer pricing requirements - Handle tax reconciliations and coordinate with tax consultants and authorities during audits or inquiries - Monitor and forecast cash flow, manage banking relationships, and support treasury activities - Develop and track budgets and forecasts, providing analysis and insights to support business decisions - Maintain fixed asset records, including capitalization and depreciation - Ensure adherence to accounting policies, procedures, and effective use of systems (e.g., SAP) - Collaborate with business units to support financial planning and cost control - Perform related duties as assigned
Job Requirement
<Necessary Skill / Experience> - Bachelor’s degree in Finance, Accounting, or Tax - Business level English - Min. 5 years of experience as a Finance, Accounting, and Tax with managerial experience in Foreign Investment companies (PMA) - Brevet A and B Certified - Proficient in SAP