Admin Treasury (Contract-based) at PT Merdeka Copper Gold
Special capital Region of Jakarta, Java, Indonesia -
Full Time


Start Date

Immediate

Expiry Date

16 Jun, 26

Salary

0.0

Posted On

18 Mar, 26

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Transactions, Cash Flow Management, Bank Account Reconciliation, Financial Reporting, Vendor Reporting, Invoices, Receipts, Filing, Financial Statements, Forecasting, Microsoft Excel, Communication, Detail-Oriented, Data Entry, Scheduling

Industry

mining

Description
PT Merdeka Battery Materials Tbk (MBMA) owns high-quality assets in the strategic materials and EV battery value chain, with successful acquisitions made in 2022 to expand and develop operations in Indonesia. MBMA is majority-owned by PT Merdeka Copper Gold Tbk (MDKA), which holds the controlling stake through its subsidiary, PT Merdeka Energi Nusantara. On 18 April 2023, MBMA successfully completed its Initial Public Offering on the Indonesia Stock Exchange and became a public company. The creation of a listed and vertically integrated battery materials company of global significance would position MBMA to maximize the value of its portfolio of high-quality assets and would provide access to new capital to allow it to pursue downstream expansion projects. Summary: We are seeking a detail-oriented and communicative professional to support our Treasury team. This role is responsible for handling daily financial transactions, assisting in cash flow management, reconciling bank accounts, and preparing accurate financial and vendor reports. The ideal candidate holds a Bachelor's degree in Accounting or Finance, has at least 1 year of experience (preferably in the mining or natural resources sector), is highly proficient in MS Excel, and excels in both independent and team-based environments. Responsibilities: Assist in the preparation and processing of daily financial transactions, including payments, invoices, and receipts. Maintain accurate records of financial transactions, ensuring all documentation is properly filed and securely stored. Support the finance team in the preparation of periodic financial reports and statements. Liaise with various internal departments and external stakeholders to gather and provide necessary financial information. Assist in the management of cash flow and financial forecasting. Monitor and perform regular reconciliations of bank accounts. Prepare monthly summary reports detailing quantity and pricing for each vendor. Provide general administrative support to the Treasury team, such as scheduling meetings, managing calendars, and handling correspondence. Qualifications: Bachelor's degree in Accounting, Finance, or a related field. At least 1 year of proven experience in a similar role; experience in the mining or natural resources industry is highly preferred. Strong understanding of financial and accounting principles. Proficient in Microsoft Office Suite, with strong capabilities in Microsoft Excel. Excellent verbal and written communication, along with strong interpersonal skills. Highly detail-oriented with the ability to maintain a high level of accuracy in data entry and reporting. Proven ability to work independently with minimal supervision as well as collaboratively within a team.
Responsibilities
This role supports the Treasury team by handling daily financial transactions, including payments and receipts, maintaining accurate records, and assisting with periodic financial reports. Responsibilities also include managing cash flow, reconciling bank accounts, preparing vendor reports, and providing general administrative support.
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