Jalan. Tanah Abang III No.14, RT.11/RW.8, Petojo Sel., Gambir, Kota Jakarta Pusat, Daerah Khusus Ibukota Jakarta 10160
Jakarta Pusat - Jakarta - Indonesia
Jakarta Pusat - Jakarta - Indonesia
DESKRIPSI PEKERJAAN
Responsible to GL transactions, MA report, variance analysis
Assist in yearly budget preparation, monitoring budget variance
In charge of all treasury matters
Manage end-to-end payment processes, including payment vouchers, PO postings, e-banking, and supporting documents.
Review petty cash, expense reports, and daily transaction journals.
Prepare data for insurance, L/C, and import–export (DHE) reporting.
Prepare weekly cash flow planning and forecasting.
REQUIREMENT
· Bachelor’s Degree in Finance/Accounting from a reputable University (minimum GPA > 3.0) · Having 3 years of working experience in reputable audit firm · Excellent knowledge of accounting regulations and procedures · Advanced MS Excel skills · Strong attention to detail and good analytical skills · Good command of spoken and written English · Placement at Jakarta Office, and able to travel to Site to meet job requirements.
DETAIL LOWONGAN
- Umur -
- Min GPA 3
- Min. Qualification D3
- Min Experience Staff
LOKASI KERJA
Alamat
Jakarta