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Accounting & Finance Manager – Corporate & Operational Finance
Location: Jakarta Selatan, Indonesia
Client Overview
Our client is a diversified and growing business group operating across multiple industries including mining services, infrastructure development, agribusiness, livestock operations, and large-scale industrial projects. The organization manages complex, asset-intensive businesses with operations across Indonesia, requiring strong financial governance, accurate reporting, effective cost management, and disciplined financial controls.
With a focus on sustainable growth and operational excellence, the company continues to strengthen its finance organization to support multi-site operations, project-based businesses, production environments, and corporate expansion initiatives. The organization provides an opportunity for experienced finance professionals to work closely with executive leadership, operational teams, subsidiaries, auditors, and strategic stakeholders in a dynamic business environment.
Job Role
The Accounting & Finance Manager – Corporate & Operational Finance is responsible for overseeing accounting operations, financial reporting, budgeting, treasury management, cost control, compliance, and financial governance across business units and operational activities.
This role serves as a key finance business partner supporting executive decision-making through accurate financial insights, performance analysis, and strategic recommendations. The successful candidate will manage financial processes across complex operational environments including mining, infrastructure, agriculture, livestock, manufacturing, and multi-entity business operations.
The position requires strong expertise in accounting, financial control, project and operational finance, cash flow management, audit coordination, and business performance improvement.
Key Responsibilities
Oversee end-to-end accounting operations including general ledger management, reconciliations, month-end closing, year-end closing, and financial reporting.
Prepare and review financial statements, management reports, cash flow reports, profitability analysis, and business performance reports.
Manage budgeting, forecasting, financial planning, and performance monitoring across business units.
Monitor operational costs, project expenditures, capital expenditures, asset utilization, and profitability performance.
Analyze cost structures, operational efficiency, production expenses, project financial performance, and improvement opportunities.
Manage treasury activities including cash flow forecasting, working capital management, payment controls, funding requirements, and banking coordination.
Ensure accurate financial reporting across subsidiaries, projects, and operational sites including intercompany transactions and consolidated reporting.
Develop and strengthen internal control frameworks, accounting procedures, and financial governance processes.
Ensure compliance with accounting standards, taxation requirements, statutory obligations, and corporate policies.
Manage external audit processes and coordinate with auditors, tax consultants, regulators, and other external stakeholders.
Support tax compliance activities, financial reviews, and regulatory reporting requirements.
Provide financial analysis and strategic recommendations to management regarding investment decisions, cost optimization, business expansion, and operational improvements.
Support financial modeling, capital expenditure evaluation, and return-on-investment analysis.
Collaborate with operational teams to improve financial discipline, reporting accuracy, and business performance.
Candidate Requirements
Bachelor’s Degree or above in Accounting, Finance, Economics, Business Administration, or related disciplines.
Professional certifications such as CPA, CA, Ak., or equivalent qualifications are highly preferred.
Minimum 5 years of experience in Accounting, Finance, Financial Control, Audit, or related finance leadership roles.
Proven experience in mining, infrastructure, engineering services, agribusiness, livestock, manufacturing, FMCG, or other operationally intensive industries.
Strong knowledge of financial reporting, general ledger management, budgeting, cost accounting, treasury management, and internal controls.
Experience managing project-based finance, operational cost monitoring, inventory accounting, production accounting, or multi-site financial reporting.
Experience handling consolidated reporting, intercompany transactions, and multi-entity business environments is highly preferred.
Strong understanding of accounting standards, taxation regulations, audit processes, and corporate governance.
Advanced proficiency in ERP systems, financial reporting platforms, Microsoft Excel, financial modeling, and data analysis tools.
Strong analytical thinking, problem-solving ability, attention to detail, and financial decision-making capability.
Excellent stakeholder management, communication, leadership, and cross-functional collaboration skills.
Comfortable working with senior management, operational teams, auditors, banks, and external stakeholders.
Willingness to travel to operational sites when required.
Professional fluency in English, both written and spoken, for reporting, presentations, and international communication.