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pt talenta eksekutif asia

Accounting & Finance Manager (Holding Company)

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Job Description

This role requires the candidate to work in Jakarta Selatan, Indonesia.

Client Overview

Our client is a diversified holding group operating across multiple sectors, including mining services, heavy engineering, infrastructure development, and large-scale agricultural operations. Through its portfolio of operating companies, the organization manages complex, asset-intensive businesses that require strong financial governance, disciplined capital allocation, and rigorous operational oversight. The group supports large-scale projects and operations across Indonesia while maintaining relationships with domestic and international stakeholders, financial institutions, and strategic business partners.

As the organization continues to expand its business footprint and strengthen corporate governance standards, it places significant emphasis on financial transparency, operational efficiency, and long-term sustainability. The company offers a dynamic environment where finance professionals can gain exposure to multi-industry operations, consolidated reporting structures, and executive-level decision-making processes while contributing directly to the financial health and growth of the organization.

Job Role

The Accounting & Finance Manager is responsible for overseeing the company's accounting operations, consolidated financial reporting, treasury monitoring, budgeting processes, and financial governance activities across multiple business entities. The role serves as a key business partner to executive leadership by ensuring the accuracy of financial information, maintaining strong internal controls, and supporting strategic financial planning initiatives.

The successful candidate will work closely with senior management, subsidiary leadership teams, auditors, banks, and external stakeholders to optimize cash flow management, strengthen financial controls, manage statutory compliance, and provide actionable business insights. This position is highly suitable for experienced finance professionals with strong expertise in consolidated accounting, corporate finance, financial analysis, audit management, and multi-entity business environments.

Key Responsibilities

  • Manage and oversee consolidated accounting processes, financial closing activities, intercompany transactions, and financial reporting across multiple business entities.
  • Prepare and review monthly, quarterly, and annual financial statements, management reports, balance sheets, profit and loss statements, and cash flow reports.
  • Ensure compliance with applicable accounting standards, financial regulations, taxation requirements, and corporate governance frameworks.
  • Partner with executive leadership to develop annual budgets, financial forecasts, business plans, and long-term financial strategies.
  • Analyze financial performance, identify cost optimization opportunities, monitor business profitability, and support strategic decision-making through data-driven insights.
  • Monitor group cash flow positions, working capital requirements, treasury activities, funding needs, and banking relationships.
  • Support capital expenditure evaluations, investment analysis, financial modeling, and return-on-investment assessments.
  • Coordinate and lead external audit engagements, statutory audits, tax reviews, and regulatory reporting activities.
  • Develop, maintain, and improve internal control frameworks, financial policies, and risk management processes.
  • Collaborate with subsidiary management teams to ensure reporting consistency, financial discipline, and alignment with group financial objectives.
  • Support executive presentations, board reporting, investor communications, and strategic financial reviews.

Requirements


  • Bachelor's Degree or above in Accounting, Finance, Economics, Business Administration, or related disciplines.
  • Professional certifications such as CPA, CA, Ak., or equivalent qualifications are highly preferred.
  • Minimum 5 years of experience in Accounting, Finance, Financial Control, Audit, or related financial leadership roles.
  • Proven experience managing financial reporting, accounting operations, budgeting, treasury activities, and financial governance within complex business environments.
  • Experience working within holding companies, diversified business groups, multi-subsidiary organizations, or asset-intensive industries is highly preferred.
  • Strong understanding of consolidated accounting principles, intercompany transactions, financial statement preparation, and regulatory compliance requirements.
  • Experience managing external audits, tax compliance processes, and relationships with audit firms and regulatory authorities.
  • Advanced proficiency in ERP systems, financial reporting tools, Microsoft Excel, financial modeling, forecasting, and data analysis.
  • Strong analytical, problem-solving, organizational, and decision-making capabilities.
  • Excellent stakeholder management, communication, leadership, and cross-functional collaboration skills.
  • Highly adaptable, resilient, and capable of operating effectively within fast-paced and dynamic business environments.
  • Willingness to travel regularly to operational sites and support business activities across multiple locations when required.
  • Professional fluency in English, both written and spoken, is mandatory for reporting, presentations, audit coordination, and communication with international stakeholders.

Job Code: #732

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Job ID: 149138719