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Finance, Accounting & Tax

Senior Finance Operations

Full-time

Jakarta

hero

We are looking for a Sr. Finance Operations who can take ownership of the company's day-to-day finance operations — treasury and cash management, financial planning & analysis (FP&A), budgeting, and forecasting. This is a hands-on operational role with strategic input, for someone who is comfortable operating independently and taking ownership in a fast-paced environment.

What will you do:

  • Own treasury and cash management: banking relationships, cash positioning, payment approvals, and working capital management.

  • Lead financial planning & analysis (FP&A): annual budgeting, rolling forecasts, variance analysis, and scenario/financial modeling.

  • Build and maintain management reporting: monthly/quarterly financial reports for leadership.

  • Coordinate with the Accounting & Tax Lead on AP/AR processes to ensure healthy cash flow and runway.

  • Design and continuously improve financial policies, SOPs, approval matrices, and internal controls appropriate to the company's size and stage.

  • Support audit and fundraising activities when they occur — financial model, data room, and investor due diligence — as a secondary responsibility.

  • Partner closely with the Accounting & Tax Lead to ensure financial data accuracy flows correctly into planning and reporting.

  • Support ad-hoc financial analysis and other finance-related requests from leadership as needed.

What we are looking for:

  • 3+ years of relevant experience in Finance Operations/FP&A, preferably having independently built or run a finance function in a startup or fast-growing company.

  • Demonstrable hands-on experience in cash flow management, budgeting/forecasting, and financial modeling (Excel/Google Sheets: 3-statement modeling, scenario analysis).

  • Strong analytical and communication skills, with the ability to translate financial data into insights for leadership.

  • Experience working in a startup, scale-up, or fast-growing company with a high level of ownership and limited support.

  • Proven track record of delivering under tight, recurring deadlines (e.g., monthly closing, cash runway monitoring, ad-hoc leadership requests).

  • Comfortable operating with limited support staff, ambiguous SOPs, and building processes from scratch.

  • Prior experience setting up finance operations/infrastructure from scratch at an early-stage company would be a plus.

  • Exposure to fundraising processes (financial model, data room, cap table) would be a plus.