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PT Chateraise Gobel Indonesia is seeking a Finance & Accounting professional to manage journal entries, reconciliations, and payments while supporting month-end closing and audit preparation. The role requires attention to detail, strong Excel skills, and familiarity with ERP systems. Experience in high-volume outlets is a plus.
The successful candidate will work with cross-functional teams to ensure accurate financial records and timely reporting in a fast-paced environment.
Perform daily Finance & Accounting activities, ensuring transactions are recorded accurately and on time. Handle and monitor transactions related to General Ledger (GL), Account Payable (AP), Account Receivable (AR), and Cash & Bank. Support the month-end closing process and ensure all transactions are properly recorded.
Key responsibilities :
Prepare and record accounting journal entries into the accounting system
Perform regular bank reconciliation and account reconciliation
Review supporting documents to ensure completeness and accuracy before recording or processing payments
Process and monitor payment transactions in accordance with company procedures
Support the month-end closing process and ensure all transactions are properly recorded
Prepare supporting data and documents for internal and external audit requirements
Maintain proper filing and documentation of Finance & Accounting records
Coordinate with related departments to resolve transaction discrepancies and accounting issues
Support the preparation of accounting reports and other financial data required by management
Requirement :
Bachelors degree (S1) in Accounting, Finance, or a related field.
Minimum 3 years of working experience in Finance & Accounting.
Experience in F&B, Retail, FMCG, or multi-outlet businesses is preferred.
Good knowledge of Accounting Journals, General Ledger (GL), Account Payable (AP), Account Receivable (AR), and Cash & Bank.
Experienced in bank reconciliation and account reconciliation.
Good understanding of payment processing and document verification.
Familiar with month-end closing processes.
Experience handling outlet/store transactions, daily sales reconciliation, or high-volume transactions is an advantage.
Proficient in Microsoft Excel.
Familiar with accounting systems / ERP.
Strong attention to detail and accuracy.
Good analytical, organizational, and coordination skills.
Able to work independently and meet deadlines.