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Finance Accounting & Tax Supervisor – Jakarta

2 Minggu yang lalu
Negotiable
Bulanan

PT World Innovative Telecommunication atau OPPO adalah merek teknologi yang terdaftar secara global, dengan sejarah panjang dalam melayani pelanggan di Amerika Utara, Eropa, dan Asia. Perusahaan ini menghadirkan produk yang mendapat peringkat tinggi dari para ahli di seluruh dunia.

Sejak memasuki pasar ponsel pada tahun 2008, OPPO telah menciptakan berbagai inovasi dengan produk berteknologi terbaru, bekualitas tinggi, dan nyaman bagi pengguna. OPPO selalu memberikan dan menjelajahi teknologi terbaru yang ditawarkan.

Sejak awal, produk PT World Innovative Telecommunication telah menembus batas teknologi. Disini kami mengajak anda untuk bergabung bersama kami pada posisi Jabatan Finance Accounting & Tax Supervisor Penempatan Jakarta.

Job Qualification

  • Have at least Bachelor’s degree in Finance/Accounting or a related field.
  • Have at least 5 years of in a similar finance role, preferably within the retail industry.
  • Strong understanding of Accounts Payable (AP) and Accounts Receivable (AR) processes.
  • Proficient in Mandarin is a plus.
  • Having familiarity with ERP and Web base System.
  • Having a good knowledge and expertise in taxation System (PPH & PPN).
  • Excellent analytical skills with attention to detail.
  • Have good communication and coordination skills with stakeholders.

Job Description

  • You will assist in the preparation of financial plans, budgets, and forecasts. Analyze financial data and trends to provide insights and recommendations to senior management for strategic decision-making.
  • You will help prepare and review financial statements, including income statements, balance sheets, and cash flow statements. Ensure accuracy and compliance with accounting standards and regulatory requirements.
  • You will collaborate with department heads to develop departmental budgets and monitor budget performance. Identify variances and provide explanations for deviations from budgeted targets.
  • Monitor cash flow projections and manage cash flow operations to ensure adequate liquidity for business operations.
  • You will assist in establishing and maintaining financial controls to safeguard company assets and ensure compliance with internal policies and external regulations. Conduct periodic audits and reviews to assess control effectiveness.
  • Support the implementation and maintenance of financial systems and processes to enhance efficiency and accuracy in financial reporting and analysis.
  • Collaborate with internal stakeholders, including senior management, department heads, and cross-functional teams, to align financial objectives with business goals.
  • Communicate financial performance, forecasts, and insights effectively.
  • Undertake ad hoc financial analysis, projects, and initiatives as assigned by senior management. Participate in strategic initiatives, mergers and acquisitions, and other business activities requiring financial expertise.

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