
soe.merry
About Candidate
Finance Specialist with 7 years of experience. Main responsibility of finance operation reporting, financial planning, and controller for company operations.
Started professional career as a banking reporting and budgeting at PT Bank Panin Tbk. Promoted as a Supervisor in 2nd year of work.
Moved into IPP Hydro Energy, as management reporting to CFO, for 6 years. Responsible to deliver monthly report to be presented to CFO.
Currently in financial services field, as a Finance Accounting and Tax until now. Responsible to do a financial planning and controller. Handling more than 2 entities.
Location
Education
Majoring in finance management
Majoring in human resource management
Work & Experience
•Deliver annual business plan and budgeting of main branch •Analyzing financial performance of main and sub branches •Analyzing and deliver monthly financial report performance of main and sub branches •Deliver monthly bank report to HO and BI •Monitoring daily accounting transaction
•Prepare and present financial & operational performance reports to the CFO •Monitoring daily accounting transaction and database •Conduct all tax-related tasks, including payments and reporting •Deliver monthly budget cashflow •Review the results of the appraisal report for the hydro project related to project financing •Responsible for settling insurance claims that have occurred on the power plant assets •Develop and maintain relationship with Bank and Financial Institution related to project financing
•Prepare and present financial & operational performance reports to the CFO & VP, providing insights and recommendations for improvement •Deliver annual and monthly budget cashflow •Oversee daily accounting transaction, including monitoring and managing transactional processes for efficiency •Monitoring account receivable and account payable •Conduct all tax-related tasks, including payments and reporting •Manage relationship with Bank and Financial Institution related to project financing •Teamwork: Develop cross-division relationships relating to the completeness of data and documents related to project matters
•Conduct feasibility studies to support management in deciding new project •Deliver a budget cashflow •Monitoring the availability of cashflow •Monitoring daily accounting transaction and database •Monitoring account receivable and account payable •Conduct all tax-related tasks, including payments and reporting •Manage relationship with Bank and Financial Institution related to a project •Lead cross-functional teams to resolve operational issues