Job Description
- Handle monthly/year-end closing and balance sheet reconciliation
- Ensure transaction compliance (PSAK/IFRS); use SAP and accounting software
- Liaise with internal/external auditors
- Maintain fixed assets
- Develop and manage budgets and forecasts
- Enforce accounting policies, procedures, and principles
- Maintain and forecast cash flow
- Manage bank relationships
- Support financial planning with business units
- Understand core/local/international tax and TP documentation
- Prepare tax reconciliations, CITR, monthly reports
- Liaise with tax auditors
- Minimize tax risks and penalties
- Perform related duties as assigned
Job Requirement
- Bachelor’s degree in Finance, Accounting, or Tax
- Business level English
- Min. 5 years of experience as a Finance, Accounting, and Tax Manager in Foreign Investment companies (PMA)
- Brevet A, B, C certified
- Proficient in SAP