Responsibilities:
Administration of the disbursement files from various business units and corporate departments
Journal creation for bank account transactions
Assign GL codes, prepare for review by management, and ensure journals are uploaded into appropriate financial systems
Perform bank reconciliations – reconciliation of the bank statement against the GL and reconciliation of any assigned clearing accounts
Qualifications :
Bachelor Degree in Economics, Finance/Accountancy/Banking or equivalent.
Have experience min. 1 year in the related field is required for this position.
GL accounting background
Ability to work in a team environment
Send your resume and new photo to: recruitment@kawanlamacorp.com
or by post to HRD Kawan Lama Group, Kawan Lama Building 6th floor, Jl. Puri Kencana No 1 Meruya Jakarta Barat 11610