PT Buana Lintas Lautan Tbk didirikan pada tahun 2005 sebagai perusahaan pelayaran domestik. Perusahaan memulai bisnis dengan berbagai tanker minyak dan kapal tanker gas, yang dirancang dan didedikasikan untuk membawa minyak mentah dan produk minyak serta produk gas seperti LPG. Masa depan pasar domestik yang menjanjikan memberikan peluang bagi Perusahaan untuk terus memperluas armadanya untuk memenuhi permintaan lokal yang terus meningkat.
Untuk mendukung pertumbuhan armadanya, Perusahaan berkomitmen untuk menyediakan layanan yang aman dan andal melalui peningkatan berkelanjutan dalam manajemen operasi kapal dan pengembangan sumber daya manusia. Di atas segalanya, Perusahaan akan melanjutkan peran aktifnya dalam mendukung pengembangan bisnis pelayaran di Indonesia termasuk berpartisipasi dalam peluang cabotage dan mengubah kapal berbendera asing menjadi bendera Indonesia sebagai bagian dari komitmennya untuk mendorong pertumbuhan Indonesia.
Saat ini PT Buana Lintas Lautan Tbk saat ini sedang membuka lowongan kerja untuk mengisi posisi sebagai:
Finance & Accounting Supervisor
Scope of Job:
- Ensuring daily operational accounting activities at branch are well-managed
- Ensuring daily finance activities at branch including payment, settlement, record, and report both internal and external are well-managed
- Monitoring recapitulation of disbursement on statement of account (SOA)
- Monitoring availability of financial report and its accuracy
- Monitoring aging account receivable (A/R)
- Monitoring cash projection
- Monitoring transfer including transfer slip
- Monitoring outstanding cash advance
- Monitoring bank balance
- Classifying and controlling general and operational expenses
- Reviewing the nature gain on of disbursement
- Controlling the sending of SOA/SOD to principal/general agent on schedule
- Controlling record and entry of financial data
- Coordinating preparation of annual budget
- Controlling report to tax office
- Data entry of cash and bank
- Preparing cash projection & cash flow report
- Preparing bank and cash reconciliation
- Checking payment and record of cash and bank flow
- Controlling cash balance by comparing existing physical money and cash daily report
- Reporting bank and cash balance to Head Office every day
- Maintaining bank and cash position from over draft and disturbing operational
- Settling payment of general expenses
- Booking and acquiring MCA for vessel
- Managing work distribution inside the team
- Carrying out coaching to improve staff performance
- Setting a challenging working target for staff and review it periodically
- Recognizing the team strengths and weaknesses and preparing development needed for each staff
- Proposing performance appraisal of team member
- Conducting interview for staff recruitment
Requirements:
- Bachelor of Accounting.
- Minimum 2-3 years in a similar position.
- Technical knowledge & skills: Basic accounting, finance management, taxation, cost control management, shipping knowledge, computer literate
- Have achievement orientation, customer service orientation, continuous improvement, and good interpersonal relationship
- Able to analyze issue and use sound judgement, planning organizing, orientation to detail, work efficiently, concern for order, business process understanding, developing others, team leadership.
- Proficiency in English, both oral & written.
Please Apply: Click Here