Job summary
Job category | Professional (Consulting / Finance / Real Estate / Professional Services)/Consulting |
---|---|
Industry | Other/ |
Employment type | Uncategorized |
Position level | Other |
Number of openings | 1 |
Desired entry time | - |
Required language skill |
English (Business) |
Foreign language competence | - |
Working hours | Others |
Welfares / Leave systems |
Work details
- Generating financial data, compiling and submitting reports,
analyzing industry trends and assessing the financial health of the company
- Prepare annual budget and mid-term business plans, discuss with Head Office, International
Head Quarter, direct Head Division before presenting to BOD for approval and distribute to users who will be
related with budget preparation
- Monitor and track actual performance against budget and perform variance analysis and commentary to provide
feedback to business teams to work on strategy to meet the budget
- Communicate to respective department head on the accountability of the department budget
- Create strategic business plans based on the analysis of the company’s status and financial forecasts
- Correspond with various other departments, discussing company plans and agreeing on future paths to be taken
- Develop trends and projections for the firm’s finances.
- Effective manage cash flow to achieve the best financial benefit and control all cost to be in line with the planned
budget.
- Verification and monitoring Finance operational transactions and compliance with government regulations and company policy.
- Negotiating favorable terms and conditions for loan facilities
- Negotiating lower Cost of Borrowing and negotiated with banks to reduce charges
- Monitoring compliance of Loan Facilities Terms and Conditions
- Ensuring the compliance of bank loan covenants
- Assisting in the preparation of business planning reports and OJK realization
- Identifying trends in financial and non-financial performance and providing recommendations for improvement
- Monitoring bank loan draw downs and bank loan payments
- Coordinating with other members of the finance team to evaluate performance comparison between budget and actual result.
- Proactively reviewed and controlled cash disbursement for payments to lenders, met all timescales.
- Effective manage cash flow to achieve the best financial benefit and control all cost to be in line with the planned
budget.
- Foreign exchange hedging
-In depth review on draft monthly, quarterly and audited financial report of the company
-Other tasks as assigned
・Min Bachelor degree in Finance, Banking, Accounting or Business from reputable university
・Min 5 years experience as Manager in similar industries
・Experience as an auditor is a plus
・Experience in the financial sector with previous possible
roles such as financial analyst
・ Have a good analytical thinking, problem solving,
communication, and interpersonal skill
・ Have understanding of the capital markets, financial
modeling and valuation
・ Fluent in English
About interview
Liaison
Corporate Finance Manager
RGF HR Agent
30 〜 39 million Rp