DESKRIPSI PEKERJAAN Kelly Services Indonesia and PERSOL Indonesia is currently assisting one of our top clients to fulfill vacant position of Finance Manager in Japanese Company.
Requirement :
Candidate must possess at least a Bachelor's Degree, Finance/Accountancy/Banking or equivalent.
Good communication in English
At least 2 year(s) of working experience as Finance in service or trading company (If has experience in Accounting, preferable)
Has experience in Japanese company or at least understand about Japanese working culture
Full-Time position(s) available.
Job Description :
Monitoring the cash balance, petty cash
Checking payment document (voucher)
Checking the cash and bank transaction and submitting the bank transaction to 3rd party (Payroll Vendor) and Japan HQ
Updating the income list and due date payment
Updating the outstanding income
Filling document
Checking the credit card transaction of company
Billing
Monitoring bank balance (deposito and giro)
Checking the financial statement every month
Checking billing for reimbursement and submitting to President Director
Daily report to General Manager; DESKRIPSI PEKERJAAN
Kelly Services Indonesia and PERSOL Indonesia is currently assisting one of our top clients to fulfill vacant position of Finance Manager in Japanese Company.
Requirement :
Candidate must possess at least a Bachelor's Degree, Finance/Accountancy/Banking or equivalent.
Good communication in English
At least 2 year(s) of working experience as Finance in service or trading company (If has experience in Accounting, preferable)
Has experience in Japanese company or at least understand about Japanese working culture
Full-Time position(s) available.
Job Description :
Monitoring the cash balance, petty cash
Checking payment document (voucher)
Checking the cash and bank transaction and submitting the bank transaction to 3rd party (Payroll Vendor) and Japan HQ
Updating the income list and due date payment
Updating the outstanding income
Filling document
Checking the credit card transaction of company
Billing
Monitoring bank balance (deposito and giro)
Checking the financial statement every month
Checking billing for reimbursement and submitting to President Director
Daily report to General Manager