Consolidation & Financial Analyst

TechConnect

Jakarta Pusat

On-site

IDR 180,000,000 - 300,000,000

Full time

19 hours ago
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Job summary

TechConnect in Jakarta is seeking a Treasury & Finance Analyst to consolidate financial reporting across group entities and manage treasury, banking relationships, and fund flows for the holding company. The role covers cash movements, investment administration, and ensuring proper controls in Indonesia.

The candidate will oversee the end-to-end internal approval and payment processes, monthly cash reporting, bank reconciliations, and coordinate funding injections with senior leadership.

Qualifications

  • Minimum 1 year of experience in accounting, financial reporting, or a related finance role.
  • Strong foundation in accounting, financial reporting, and tax.
  • Comfort with financial regulations across multiple jurisdictions.
  • Strong Excel and financial analysis skills; ability to present findings clearly.
  • Highly organized with the ability to manage multiple entities and stakeholders.
  • Proactive, versatile, and agile mindset with fast-changing priorities.
  • Strong communication skills; comfortable working with senior leadership and banks.
  • Professional working proficiency in English; additional languages a plus.

Responsibilities

  • Consolidate financial reporting and analysis across all group entities.
  • T treasury & fund flow management in Indonesia for the holding company.
  • Manage banking relationships, cash movements, and investment administration.
  • Ensure all fund flow activity is accurate, timely, and well-controlled.
  • Oversee payment processes and cash management; route approvals and execute payments.
  • Prepare monthly cash reporting, bank reconciliations, and cash projections.
  • Support funding injections from the holding company into operating entities or new investments.

Skills

Excel
Financial analysis
Communication
English proficiency
Multi-entity handling

Job description

  • Prepare consolidated financial reporting and analysis across all group entities from various industries.
  • Treasury & Fund Flow Management (Indonesia)
  • Manage banking relationships, cash movements, and investment administration on behalf of the holding company, including fund transfers, account administration, transaction documentation, and coordination with banks and other counterparties.
  • Ensure all fund flow activity is executed accurately, on time, and with proper controls in place.
  • Payment Process & Cash Management
  • Manage the end-to-end internal approval and payment process, routing requests through the appropriate approval layers and executing payments in line with internal controls.
  • Prepare monthly cash reporting, including bank statement reconciliation, cash flow projections, and cash buffer planning.
  • Support financial injections from the holding company into operating entities or new investments — identifying the funding source and coordinating sign-off with senior leadership for the relevant entity and amount.
Description
  • Prepare consolidated financial reporting and analysis across all group entities from various industries.
  • Treasury & Fund Flow Management (Indonesia)
  • Manage banking relationships, cash movements, and investment administration on behalf of the holding company, including fund transfers, account administration, transaction documentation, and coordination with banks and other counterparties.
  • Ensure all fund flow activity is executed accurately, on time, and with proper controls in place.
  • Payment Process & Cash Management
  • Manage the end-to-end internal approval and payment process, routing requests through the appropriate approval layers and executing payments in line with internal controls.
  • Prepare monthly cash reporting, including bank statement reconciliation, cash flow projections, and cash buffer planning.
  • Support financial injections from the holding company into operating entities or new investments — identifying the funding source and coordinating sign-off with senior leadership for the relevant entity and amount.
Requirements
  • Minimum 1 year of experience in accounting, financial reporting, or a related finance role — ideally within a multi-entity, group, or holding company structure.
  • Solid technical foundation in accounting, financial reporting, and tax.
  • Working knowledge of (or a strong ability to quickly pick up) financial and tax regulations across Singapore, Indonesia, and South Korea.
  • Strong Excel and financial analysis skills, with the ability to present findings clearly (visual/data presentation skills).
  • Highly organized and detail-oriented, with the ability to manage multiple entities, deadlines, and stakeholders at once.
  • A proactive, versatile, and agile mindset — genuinely energized by variety and fast-changing priorities, rather than needing a fixed routine.
  • Strong communication skills, comfortable working directly with senior leadership, banks, and external counterparties.
  • Professional working proficiency in English; additional languages (e.g., Bahasa Indonesia, Korean) are a plus depending on entity coverage.
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