Finance & Accounting Manager: Budgeting, Treasury & Analytics

MidPlaza Holding

Kemayoran

On-site

IDR 350,000,000 - 600,000,000

Full time

7 days ago
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Job summary

Midplaza Building is seeking an experienced Finance & Accounting Manager to oversee the company's finance and accounting operations and ensure compliant financial reporting. The role supports budgeting, treasury, receivables, taxation, and performance analysis to drive informed business decisions.

Responsibilities include leading month-end close, financial reporting, tax compliance, cash flow monitoring, and coordinating with auditors and banks.

Qualifications

  • Bachelor's degree in Accounting, Finance, or related field (GPA ≥ 3.0).
  • Minimum 8 years of experience in Finance and/or Accounting; public accounting background is an advantage.
  • Strong knowledge of financial reporting, month-end close, reconciliations, budgeting, treasury, taxation, and internal controls.
  • Excellent analytical and leadership skills with detail-oriented mindset.
  • Proven ability to lead teams and collaborate with auditors, banks, and cross-functional stakeholders.

Responsibilities

  • Oversee monthly and annual financial reporting for accuracy and compliance.
  • Lead finance operations including billing, vendor payments, taxation, treasury, closing, and reporting.
  • Ensure compliance with policies, controls, and regulations.
  • Coordinate with internal departments to monitor receivables and cash flow.
  • Liaise with auditors, tax authorities, and banks for audits and tax reporting.
  • Provide financial analysis to support management decisions.
  • Drive continuous improvement in finance processes.

Job description

Midplaza Building is seeking an experienced Finance & Accounting Manager to oversee the company's finance and accounting operations and ensure compliant financial reporting. The role supports budgeting, treasury, receivables, taxation, and performance analysis to drive informed business decisions.

Responsibilities include leading month-end close, financial reporting, tax compliance, cash flow monitoring, and coordinating with auditors and banks.

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