Liquidity & Treasury Lead

PT. Mitsui Leasing Capital Indonesia

Jakarta Pusat

On-site

IDR 250,000,000 - 350,000,000

Full time

4 days ago
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Job summary

PT. Mitsui Leasing Capital Indonesia is seeking a Treasury professional to oversee cash flow forecasting, monitor bank loans and hedging transactions, and coordinate with the accounting unit for BI reporting.

The role requires strong analytical skills, attention to detail, and excellent communication in a collaborative team environment. Placement at MH Thamrin, Central Jakarta, with responsibility for daily bank interactions and renewal of credit facilities.

Qualifications

  • Bachelor’s degree in Accounting or Tax majors.
  • Min 3 years’ treasury experience in the same field.
  • Proficient in Excel and accounting software; strong cash flow & cash management knowledge.
  • Understanding of banking literacy and Bank Indonesia regulations.
  • Detail-oriented, analytical, good communicator, and team player.

Responsibilities

  • Oversee and analyze short-term and long-term cash flow forecasting to ensure liquidity.
  • Examine bank loan and hedging reports for renewal or payment per management decisions.
  • Follow up loan and hedging quotations with banks daily.
  • Present funding quotations and bank recommendations to management to obtain approval for final negotiations.
  • Check completeness of documents for all bank loan and hedging transactions and obtain signatures.
  • Coordinate with Accounting Unit for data/documents related to foreign loans, FX, and hedging for Bank Indonesia reporting.
  • Monitor maturities of loan agreements and prepare renewal requirements.
  • Renew company data and authorized signer data with relevant banks.

Skills

Attention to Detail
Analytical Thinking
Communication Skill
Teamwork
Cash flow management

Education

Bachelor's Degree Accounting/Tax Majors

Tools

Microsoft Excel
Accounting Software
Cash flow principles
Banking literacy
Bank Indonesia Regulation

Job description

PT. Mitsui Leasing Capital Indonesia is seeking a Treasury professional to oversee cash flow forecasting, monitor bank loans and hedging transactions, and coordinate with the accounting unit for BI reporting.

The role requires strong analytical skills, attention to detail, and excellent communication in a collaborative team environment. Placement at MH Thamrin, Central Jakarta, with responsibility for daily bank interactions and renewal of credit facilities.

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