Overview
Role Summary
The Finance & Reporting Supervisor plays a critical role in ensuring ModernVet’s financial integrity, accuracy, and compliance. This position oversees daily financial operations, monthly closing and reporting, budget tracking, and cost control across multiple branches. It also supervises the Finance Operations & Reconciliation Specialist to ensure that all financial documentation, reconciliations, and payment requests are accurate, timely, and aligned with approved budgets. The ideal candidate is detail-oriented, system-driven, and confident in financial logic—yet also excited about building scalable structure and improving processes as ModernVet grows.
Responsibilities
Financial Reporting & Month-End Closing
- Lead the preparation of monthly, quarterly, and annual financial reports (P&L, Balance Sheet, Cash Flow)
- Supervise the month-end closing process, including journal entries, accruals, and account reconciliations
- Maintain and update the Chart of Accounts (COA) to reflect operational and branch-level structure
- Ensure the completeness and accuracy of accounting transactions in compliance with PSAK
- Support the Finance Controller in preparing audit-ready reports and documentation
Cash, Banking & Reconciliation
Oversee daily cash book and bank reconciliation processesCoordinate with the Finance Operations & Reconciliation Specialist to validate supporting documents for payment requests, reimbursements, and procurementEnsure disbursement requests are properly documented, budget-aligned, and ready for CEO approvalCollaborate with the Finance Controller to support treasury planning and vendor payment schedulingManage cash flow planning, ensuring sufficient liquidity while maximizing interest income, and maintain strong banking relationshipsBudgeting, Forecasting & Cost Control
Monitor and track departmental and branch-level budgets, flagging deviations as neededReview and validate disbursement requests to ensure cost-efficiency and adherence to budgetAnalyze budget variances and provide financial insights to support decision-makingAssist in quarterly and annual budgeting by providing structured data and forecasting supportPartner with operational teams to reinforce financial discipline and accountability (accurate sales reconciliation, timely record, etc)Tax & Compliance
Ensure accurate transaction documentation for tax purposes, in coordination with external tax consultantsSupport the Finance Controller in preparing and reviewing tax filings (PPN, PPh)Maintain organized financial documentation and audit trails for internal and external reviewProcess Improvement & SOP Development
Collaborate with the Finance Controller to map and document key finance workflows (e.g., month-end, payment approvals, reconciliation)Develop clear SOPs, checklists, and templates to streamline and standardize financial operationsProactively identify bottlenecks and propose improvements to enhance accuracy and speedTeam Leadership & Cross-Functional Collaboration
Supervise and review the work of the Finance Operations & Reconciliation SpecialistProvide guidance in document validation, revenue reconciliation, and budget monitoringCollaborate with procurement, inventory, and operations teams to ensure accurate financial flows across departments and branchesQualifications
Education and Experience :
Bachelor’s degree in Accounting or Finance is required; Brevet A & B preferredCPA qualification or Big 4 audit experience is a strong advantageCombination of Big 4 and in-house finance experience is highly preferredMinimum 4–5 years of experience in accounting, financial reporting, or auditPrior experience in supervising or mentoring finance staffProven ability to work in lean teams and manage multi-branch finance operationsExperience in the healthcare sector or working closely with doctors or veterinarians is a plusHaving experience in system migrationTechnical Skills :
Deep understanding of PSAK, journal entries, and budgeting logicProficient in accounting software (Jurnal, Accurate, Xero, Odoo, or similar)Strong Excel / Google Sheets skills for reporting, forecasting, sanitizing data, and reconciliationFamiliar with payment workflows, reconciliation, and basic tax complianceSoft Skills :
Highly analytical with sharp attention to detailThrives in a fast-paced, lean, and evolving environmentSelf-driven, with strong ownership and initiative—even without constant directionReliable and timely in delivering reports and closing tasksIntegrity and accountability in handling sensitive financial decisionsStrong communication and coordination skillsProactive mindset with a continuous-learning attitudeOrganized, structured, and able to manage multiple priorities and deadlinesNote : This listing previously included extraneous postings and references not related to the role. For clarity, those have been removed here.
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