Consolidation & Financial Analyst

TechConnect

Jakarta Utara

On-site

IDR 300,000,000 - 600,000,000

Full time

14 days+
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Job summary

TechConnect seeks a detail-oriented finance professional to consolidate and report across multiple entities. You will manage treasury, fund flow, and end-to-end payment processes while ensuring internal controls and accurate cash reporting.

Requirements include 1+ year in accounting/finance, strong Excel skills, English proficiency, and the ability to coordinate with senior leadership and banks across regions.

Qualifications

  • 1+ year of experience in accounting, financial reporting, or related finance role.
  • Strong Excel and financial analysis skills.
  • Professional working proficiency in English; Bahasa Indonesia and Korean are a plus.

Responsibilities

  • Prepare consolidated financial reporting and analysis across group entities.
  • Manage treasury, cash movements, and investment administration for the holding company.
  • Oversee end-to-end payment processing and ensure internal controls are followed.

Skills

Excel
Financial analysis
English proficiency
Stakeholder management

Education

Bachelor's degree in Finance/Accounting

Job description

  • Prepare consolidated financial reporting and analysis across all group entities from various industries.
2. 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.
3. 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
1. Consolidation & Reporting
  • Prepare consolidated financial reporting and analysis across all group entities from various industries.
2. 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.
3. 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.
Benefits
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