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Hybrid Finance Controller bei modernvet

modernvet · Jakarta, Indonesien · Hybrid

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Role Overview:

We are seeking a strategic and hands-on Financial Controller to lead financial operations, ensure compliance, drive budgeting and planning, and oversee inventory efficiency. This role supports both day-to-day financial functions and long-term strategic growth in a dynamic, multi-branch environment.

Key Responsibilities:

Financial Oversight & Compliance

  • Manage daily financial activities and ensure tax and regulatory compliance (VAT, corporate tax).
  • Lead monthly closings, approve transactions, and resolve discrepancies.
  • Enforce reimbursement/payment policies and oversee urgent payments.
  • Support finance system integration and lead financial projects (e.g., RFID, Odoo).

Planning, Analysis & Reporting

  • Develop financial models and forecasts with leadership.
  • Analyze pricing, cost structures, margins, and inventory trends.
  • Prepare financial reports for management, investors, and board members.
  • Support decision-making with data insights.

Budgeting & Procurement

  • Oversee annual budgeting, monitor departmental spend, and drive cost efficiency.
  • Lead procurement strategy, vendor negotiations, and inventory control.
  • Approve stock opname results and manage promotional strategies for slow-moving stock.

Inventory Management

  • Oversee end-to-end stock management and monthly stock opname processes.
  • Prepare inventory for new branches and balance stock via inter-branch transfers.
  • Supervise stockists’ daily performance, stock checks, and expired goods management.
  • Review inventory listings and branch item requests to suppliers.
  • Create stockist shift schedules and drive continuous improvements in inventory efficiency.
  • Create SOP to improve business processes (or automation).


Team Leadership & Operational Support

  • Lead and mentor the finance team, ensuring smooth operations and team development.
  • Support branch launches and cross-functional projects with finance input.
  • Collaborate with IT and marketing to enhance financial systems and processes.

Cash & Banking Management

  • Oversee cash flow planning and optimize interest earnings.
  • Manage banking relationships and financial transactions.
     

Qualifications:

  • Bachelor’s degree in Finance, Accounting, or related field; cum laude preferred.
  • CPA or equivalent certification preferred.
  • Minimum 7 years of experience in finance or controlling roles, with team leadership and multi-branch oversight. At least 2 years in Big 4 accounting firms; with banking industry experience is a plus.
  • Strong knowledge of accounting standards, tax regulations, budgeting, and financial reporting.
  • Proficient in Excel and financial systems (e.g., Odoo, ERP); experience with system integration is a plus.
  • Excellent analytical, problem-solving, and financial modeling skills.
  • Proven ability to manage teams, prioritize tasks, and communicate effectively with stakeholders.
  • Detail-oriented, proactive, and adaptable in a fast-paced environment.
Jetzt bewerben

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