Treasury Asst. Manager

Pengiklan Anonim

Jakarta Utara

On-site

IDR 360,000,000 - 600,000,000

Full time

4 days ago
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Job summary

Pengiklan Anonim in Jakarta seeks a Treasury Specialist with 5+ years of treasury/finance experience, preferably in manufacturing. A Bachelor’s degree in Finance or Accounting is required.

The role emphasizes cash flow forecasts, liquidity management, and strong banking relationships to ensure smooth transactions. The position also covers debt and investment oversight, regulatory compliance, and timely payments, with opportunities to contribute analysis for cost savings.

Qualifications

  • Bachelor’s degree in Finance, Accounting, or a related field.
  • At least 5 years of experience in treasury or finance roles.
  • Strong understanding of financial regulations, foreign exchange, and risk management practices.
  • Excellent analytical and problem-solving abilities.
  • Strong leadership and communication skills.
  • Attention to detail and a high level of accuracy.

Responsibilities

  • Monitor daily cash positions and ensure optimal utilization of funds.
  • Prepare and analyze cash flow forecasts to support the company’s operational and strategic decisions.
  • Ensure sufficient liquidity for procurement and other operational requirements.
  • Maintain relationships with banks and financial institutions to manage banking transactions efficiently.
  • Oversee all bank transactions, including fund transfers, foreign exchange transactions, and payments.
  • Ensure compliance with banking and regulatory requirements.
  • Supervise the timely processing of payments to suppliers, vendors, and other stakeholders.
  • Coordinate with the Accounts Receivable team to ensure timely collection from customers.
  • Prepare monthly, quarterly, and annual treasury reports for management review.
  • Analyze variances between forecasted and actual cash flows.
  • Provide financial analysis to support key business decisions and identify opportunities for cost savings.
  • Assist in managing the company’s debt portfolio, ensuring timely repayment of loans and interest.
  • Oversee short-term and long-term investment activities to maximize returns.
  • Execute and monitor Hedging transactions including FX Forward, DNDF, FX Swap and other approved Hedging instruments
  • Monitor and analyze the company's foreign currency exposure arising from imports, intercompany transactions, loans and other foreign currency cash flows

Skills

Treasury experience
Financial risk management
FX knowledge
Leadership
Analytical skills

Education

Bachelor’s degree in Finance or Accounting

Tools

Banking systems

Job description

Bachelor’s degree in Finance, Accounting, or a related field.

At least 5 years of experience in treasury or finance roles, preferably in manufacturing or related industries.

Strong understanding of financial regulations, foreign exchange, and risk management practices.

Excellent analytical and problem-solving abilities.

Strong leadership and communication skills.

Attention to detail and a high level of accuracy.

Willing to work in Kuningan, South Jakarta.

Job Responsibilities:

Monitor daily cash positions and ensure optimal utilization of funds.

Prepare and analyze cash flow forecasts to support the company’s operational and strategic decisions.

Ensure sufficient liquidity for procurement and other operational requirements.

Maintain relationships with banks and financial institutions to manage banking transactions efficiently.

Oversee all bank transactions, including fund transfers, foreign exchange transactions, and payments.

Ensure compliance with banking and regulatory requirements.

Supervise the timely processing of payments to suppliers, vendors, and other stakeholders.

Coordinate with the Accounts Receivable team to ensure timely collection from customers.

Prepare monthly, quarterly, and annual treasury reports for management review.

Analyze variances between forecasted and actual cash flows.

Provide financial analysis to support key business decisions and identify opportunities for cost savings.

Assist in managing the company’s debt portfolio, ensuring timely repayment of loans and interest.

Oversee short-term and long-term investment activities to maximize returns.

Execute and monitor Hedging transactions including FX Forward, DNDF, FX Swap and other approved Hedging instruments

Monitor and analyze the company's foreign currency exposure arising from imports, intercompany transactions, loans and other foreign currency cash flows

Your application will include the following questions:

  • What's your expected monthly basic salary?
  • How many years' experience do you have as a Treasury Specialist?
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