Location: Lombok, West Nusa Tenggara
Position Summary:
We are seeking an experienced Corporate Finance Manager to oversee group cash flow management, cross-border finance transactions, and corporate finance reporting. The successful candidate will play a pivotal role in managing corporate finance operations across the group, ensuring the highest standards in reporting and compliance for our internationally managed luxury hospitality assets. Fluency in English is essential, as this role involves coordination with international investors and partners.
Key Responsibilities:
- Group Cash Flow Management: Oversee the management of group cash flows, ensuring optimal liquidity across multiple jurisdictions and subsidiaries. Develop cash flow forecasts and models to support financial planning and risk management.
- Corporate Finance & Reporting: Prepare consolidated financial statements and reports for group entities, ensuring compliance with international accounting standards. Develop and present corporate finance reports to top management, owners, and stakeholders. Handle cross-border financial transactions with adherence to local and international regulations.
- Financial Strategy & Analysis: Analyze financial data to provide actionable insights, supporting management with financial decision-making. Coordinate and support strategic financial planning, budgeting, forecasting, and variance analysis.
- Compliance & Risk Management: Ensure adherence to local tax regulations and cross-border tax compliance requirements. Work closely with auditors and consultants to maintain compliance with all regulatory requirements, ensuring timely and accurate reporting.
- Stakeholder Engagement: Serve as the key finance liaison for the corporate team, property owners, and investors, fostering clear communication and understanding of financial performance. Coordinate with international teams, requiring strong communication skills and an understanding of cross-cultural finance practices.
Qualifications:
Education:
- Bachelor's degree in Finance, Accounting, or a related field.
- Professional certification (CPA, CA, or equivalent) is an advantage.
Experience:
- Minimum 5 years of experience in corporate finance, preferably within the luxury hotel, hospitality, or real estate sector.
- Proven experience in managing cross-border financial transactions and group cash flows.
- Strong background in financial reporting, especially for entities with international investments.
Technical Skills:
- Advanced proficiency in financial analysis and modeling using Excel.
- Experience with group reporting tools and financial software, preferably Xero.
- Proficiency in accounting software, with experience in Accurate being an advantage.
- Solid understanding of tax regulations for cross-border transactions.
Additional Skills:
- Strong analytical skills with high attention to detail.
- Exceptional interpersonal and communication skills, with fluency in English.
- Ability to work independently and collaboratively, taking ownership of corporate finance operations
Please send the applications with subject (Position - Name) to [Confidential Information]