Treasury Staff
3 days ago
Execute and support treasury operations by processing overseas payments, managing intercompany transactions, monitoring cash flows, and maintaining investment records in compliance with company policies. Ensure treasury governance, audit readiness, and accurate financial reporting while contributing to process improvement initiatives. The role ensures liquidity, compliance, and efficiency within the Treasury & Cash function, supporting the company's operational and strategic objectives.
Job DescriptionTreasury Operations & Payments
Record intercompany non-trade transactions by monitoring aging of intercompany payables, tracking domestic (including YKKAIO) and import payments to ensure timely settlement and compliance with treasury policies.
Execute processing and disbursement of budgets for project execution by recording progress payments, advances, and invoices against project budgets to ensure accurate cost tracking and adherence to budget limits.
Provide support on treasury governance and reporting by assisting in maintaining and reviewing policies for cash, investment, and risk limits including cash inflows and outflows to ensure compliance, transparency, and effective financial control.
Compile documentation, approvals, and reconciliation files by collecting relevant records, verifying their accuracy, and organizing them according to audit requirements to ensure readiness for audits and maintain compliance with regulatory standards.
Respond to internal and external audit queries by providing required documentation and clarifications to ensure smooth audit processes and timely closure of findings.
Track and close treasury-related audit findings by monitoring action plans, validating completion, and updating audit records to maintain compliance and governance standards.
Support internal and external reporting requirements by compiling treasury performance data, preparing compliance reports, and submitting them to finance leadership for review and decision-making.
Process Improvement & Standardization
Identify recurring issues, manual bottlenecks, or automation opportunities in treasury payment processes to improve accuracy, efficiency, and compliance.
Implement approved process improvement or automation initiatives and monitor their effectiveness post-implementation.
Maintain a central repository of optimized workflows, best practices, and standardized processes to ensure efficiency and knowledge sharing across the Treasury & Cash function.
Job RequirementsMin. Bachelor's Degree (S1) in Accounting, Finance, Economics, or related field.
0-3 years experience in treasury, finance operations, or cash management
Proficiency in MS Excel and ERP/SAP systems
Willingness to continuously learn and adapt to system or process changes
Familiarity with banking platforms for transaction processing
Please note: Please be cautious of scams or false job vacancies—only refer to our official channels for accurate information. PT Amerta Indah Otsuka & PT Otsuka Distribution Indonesia do not charge any fees at any stage of the recruitment process.
-
Treasury Assets
2 weeks ago
Jakarta, Jakarta, Indonesia PT Bank SMBC Indonesia Tbk Full time 15,000,000 - 300,000,000 per yearGrow and Make an Impact with Bank SMBC IndonesiaFormerly known as Bank BTPN, we are now proud to be PT Bank SMBC Indonesia Tbk, part of Sumitomo Mitsui Banking Corporation, one of the world's leading global financial groups.This transformation marks a renewed commitment to delivering world-class banking services, grounded in innovation, collaboration, and...
-
Treasury Staff
2 weeks ago
Jakarta, Jakarta, Indonesia Jiva Full time 30,000,000 - 60,000,000 per yearGeneral overviewPerforms one or more major cash management activities. Responsibilities may include cash management, liquidity projections, treasury operations, bank relationship management, cash accounting, investments and short-term payments. Responsible for implementing policies and procedures in handling, processing and depositing cash receipts or...
-
Finance Treasury and Operations Staff
2 weeks ago
Jakarta, Jakarta, Indonesia BukuWarung Full time 15,000,000 - 30,000,000 per yearJob DescriptionsOversee day-to-day treasury operations, including bank account management, payment processing, refund processing, and reconciliation.Oversee and manage daily cash management transactions and investments, report cash operations activities, and forecast funding requirements and liquidity for future business growth.Maintain bank account balance...
-
Finance Staff
2 weeks ago
Jakarta, Jakarta, Indonesia PT Zoom Tree Supply Chain Management Full time 30,000,000 - 50,000,000 per yearResponsibilities:Handle daily financial administrationPrepare and verify payment vouchersManage petty cash and assist with cash reconciliationProcess payments and support treasury activitiesMaintain accurate financial records and documentationCoordinate with internal departments for finance-related mattersAssist the finance team with reporting and other...
-
Jakarta, Jakarta, Indonesia PT Bank Neo Commerce Tbk Full time 30,000,000 - 50,000,000 per yearPT Bank Neo Commerce Tbk, formerly PT Bank Yudha Bhakti Tbk, is an Indonesia-based company primarily engaged in the banking business. The Company operates as a technology-based bank. The Company serves the customers in the Small and Medium Business (SME), Retail (Consumer) and Mass Market segments, through banking products and services embedded in an...
-
Account Payable Admin
2 weeks ago
Jakarta, Jakarta, Indonesia PT Cipta Krida Bahari Full timeResponsibilities:Check and Verify Invoice using Three Way Matching method in accordance with Company Standard ProceduresMaintain Invoice received properly to can be paid on timePosting Invoice to Our Internal SystemPreparing Invoice to be paid based on due date payment to be submitted to TreasuryActively follow up to Vendor if neededMaking Good cooperation...
-
Program Director
2 weeks ago
Jakarta, Jakarta, Indonesia amIT Global Solution Full time 90,000,000 - 120,000,000 per yearRole Description:The Program Manager will manage a Treasury Implementation at a State-Owned Enterprise in Indonesia. The role involves liaising with multiple FIS departments, including Client Services, Professional Services, Development and Sales, to ensure seamless communication and collaboration with the client. This position requires a proactive...
-
Unit Head of Finance and Credit Control
2 weeks ago
Jakarta, Jakarta, Indonesia Sunday Full time 20,000,000 - 25,000,000 per yearAs Unit Head of Finance and Credit Control, each day you'll....Lead, monitor, and manage the performance of the collection team under supervision, from planning to ensuring they achieve the set collection targets.Evaluate and validate the daily activities of the collection staff, ensuring the implementation of daily work plans aligns with credit rules,...
-
Senior Finance, Accounting and Tax
1 week ago
Jakarta, Jakarta, Indonesia PT. TRAKTOR GEMILANG PERKASA Full time 120,000,000 - 240,000,000 per yearSenior Finance, Accounting and Tax (FAT)Location: JAKARTAQualifications:Held Bachelor Degree of Finance/Accounting/TaxesExperienced as Senior FAT more than 1 year, or as Staff FAT with minimum 3 years employment.Held Brevet certificate (A & B), or equal certification will be advantageHave an experience in the Independent Audit or Tax Consultant firm will be...
-
Staff Accountant Indonesia
5 days ago
Jakarta, Jakarta, Indonesia Kantar Full timeWe're the world's leading data, insights, and consulting company; we shape the brands of tomorrow by better understanding people everywhere.Worldpanel provides brands and retailers with a unique, 360-degree understanding of consumer behaviour across the globe. We are shopper-centric, continuously monitoring the purchase and usage behaviour through the...