AHMAD ANTON NUGRAHA
CURRICULUM VITAE
Address Jl. Manunggal Bakti No 4, RT 02 RW
02
Pondok Rumput Bogor, 16162
Contact Number Jawa – Barat, Indonesia
Email Address +62-8111779707 / 81219643207
Date Of Birth [email protected]
Status June 30 1977
Nationality Married
Indonesia
PERSONAL QUALIFICATIONS
Have a strong eagerness and willingness to contribute to the society by means of
participating actively in various organizations. Adapt well in changing situations. Good
skills in leadership and Responsible. Result oriented and excellent time management skill
to meet target.
PROFESSIONAL EXPERIENCE
PT Berkat Agro Hijau
( Batulicin, Tanah Bumbu Kalimantan Selatan )
Finance Operation Controller
May 2020 – April 2021
Report to Owner
Prepare and evaluate financial report
Coordinate and evaluate administrative finance policies
Check and controls cost movements, compare budget vs actual
Review and analysis revenue, cost and margin
Monitor and control operational expenses
Prepare and approve invoices
Conduct fields audit
Manage cash flow by tracking transactions and regularly reviewing internal report
Ensure that all transactions are properly recorded, filled and reported
Yummy Corp
Finance Manager
November 2019 – April 2020
Report to CFO
Handle Account Receivable ( AR ) and Account Payable ( AP )
Review Invoice and signing
Prepare aging AR
Prepare aging AP
Coordinating with Sales team and follow up to Customer
As driver for SOP with BD team and new customer
External and Internal Vendor:
Responsible for review of invoices
Coordinating with Tax Department related tax matters (VAT, withholding taxes, etc.)
Follow up Down Payment vendor
Follow up Parked item external and intercompany transaction
Reconcile / Review of supplier s statement of account with vendor
Reconcile outstanding PO, GR and IR (Three-way matching) with project team
Analyses and preparation monthly report for GR/IR report for vendors
Analyses and preparation monthly report for Aging AP
Monitor of hardcopy invoice vendor
As driver for SOP / Local directive of iTP (Invoice to payment)
Review and check payment proposal before sending to CFO for approval
PT Bliss Property Indonesia Tbk ( POSA Group )
Accounting & Finance
February 2019 – November 2019
Report To : CFO
Overseeing daily transaction
Preparing Financial Report
General Ledger
AR / AP
Preparing Budget reports and forecast revenue
Manage month-end and year-end closing
Monitor daily transaction for principle and subsidiary ( Six Company )
Organize financial data and maintain updated records
Track the progress of financial and accounting objectives
Establish accounting policies and procedures, aligned with company’s target
PT Basuki Rahmanta Putra
Chief Accounting & Finance
October 2017 - January 2019
Report to: CFO
PT Basuki Equipment
PT Delima Jaya Mix
Manage and oversee the entire accounting team.
Ensure that all necessary documents are requested, collected and compiled.
Monitor and mentor junior staff and supervisor
Organize and update financial records: monitor all bookkeeping.
Analyze accounts and suggest improvements to reduce cost and increase cost.
Analyze Budget vs Actual cost.
Prepare, manage, present monthly reports.
Act as a liaison to outside auditors.
Represent accounting department at boards meeting
Preparing budget in accordance and coordination with BOD and Project Manager.
Own Business
April 2013 - July 2017
Bogor
Ayam Bakar Kecap Manis
PT ERICSSON INDONESIA
Project Planner Experience
November 15th 2007 – August 1 2013
Report to: Service Delivery Manager / Project Manager, Line Manager and Finance
Analyst.
Planning:
Set up project in project control system (prepare budget based on assignment
specification, create matrix and standard SO)
Support SDM (Service Deliver Manager) to create time plan, scheduling, costs for
project implementation as well as milestone in SAP (project progress completion,
documents submission and billing plan)
Monitoring and controlling:
Coordinate with logistic team for all material issue (delivery, ordering and material
transfer / borrow)
Coordinate with logistic for material status (arrival in warehouse, deliver to site, and
update excess to internal)
Update plan cost, billing plan and milestone in SAP based on actual progress.
Check financial figure deviation on plan versus actual in SAP (cost, revenue, and
margin)
Monitoring AP Work flow, parked item over 90 days
Control project work by focusing on integration and deviations from plans.
Extracts reports from SAP to analyze project performance.
Prepare cost report and project performance report then submit it internally and
externally in timely manner
Coordinate with commercial team for invoicing progress and backlog
Prepare and deliver forecast to Financial Analyst.
Sharing knowledge with project admin regarding project status and financial figure
Closing:
Get the confirmation of settlement PO and payment from supplier.
Ensure no backlog with commercial team and check in SAP
Prepare Depreciation cost report.
Change the network number status from REL, TECO and Closed
Supporting SDM to create final report and TG5
As Senior Officer Account Payable
Report to: Counterpart SSC Manila (Manila), Head of Accounting and CFO
External and Internal Vendor:
Receive invoice from vendor
Responsible for validity and completeness of invoices
Responsible and monitoring submission invoices to Counterpart (Indonesia - SSC
Manila Indonesia)
Coordinating with Tax Department related tax matters (VAT, withholding taxes, etc.)
Follow up Down Payment vendor
Follow up Parked item external and intercompany transaction
Reconcile / Review of supplier s statement of account with vendor
Reconcile outstanding PO, GR and IR (Three-way matching) with project team
Analyses and preparation monthly report for GR/IR report for vendors
Analyses and preparation monthly report for Aging AP
Taking care bank reconciliation (related Account payable) together with counterpart
(SSC Beijing)
Send announcement to vendor related to year end closing
Preparing and coordinating with external auditor related account payable for audit
task
Request update for a new vendor to GMDM (SSC Manila)
Archive of hardcopy invoice vendor
As driver for SOP / Local directive of iTP (Invoice to payment)
Employee:
Verify employee claims
Coordinating with employee re discrepancies of supporting documents vs field claim
Checking, Maintain and follow up cash advance to employee for travel and non-travel
Produce monthly report and send out to all head division
Send announcement related to year end closing for salary deduction
Request update to HR for any change in employee account number
Archiving hardcopy of employee claims
Payment Proposal:
Review and check payment proposal before sending to CFO for approval
Upload to Citi direct
Bank Reconciliation:
Checking and review for outgoing payment that has not booked yet by LC
Checking and review for incoming payment especially related to payment from
employee
As Fixed Asset (Authorized Resources Provider)
Report to: Head of Accounting, Head of GA and Project Manager.
Bar coded All Fixed Asset
Control Additional, Movement and transfer Fixed Asset.
Coordinate with procurement and General Affair to controlling PO Number.
Coordinate with Fixed Asset Team.
Conduct Stock Opname
Preparation Reconcile Adjustment Stock Opname
Preparation Stock Opname Report
Reconcile Account Receivable Other (168101 ).
Maintain and Controlling Supplier Document
PT LEVI STRAUSS INDONESIA
As Inventory Controller
June 8th 2006 – November 12th 2007
Report to: Accounting Manager, Sales Manager (Consignment ) and Supply Chain
Manager
Checking All Documents Shipment Consignment (32 Store)
Checking All Document Sell Out Consignment (32 Store)
Conduct Quarterly Stock Opnam Consignment (32 Store )
Preparation Reconcile Adjustment Stock.
Preparation Tab Level Monthly
Preparation Journal Sell Out, Adjustment, COGS Regular.
Preparation Summary and Report Sell Out Consignment (32 Store)
Preparation Depreciation Calculation and Depreciation Journal of Fixed Asset.
Input Stock Adjustment in LDS Program.
Update Fixed Asset List.
Preparation Monthly CAPEX.
Preparation MGP (Management Gross Profit)
Preparation Consignment Profitability Report.
PT PIONEERINDO GOURMET INTERNATIONAL Tbk.
As Accounting Staff
July 25th 2005 – February 14th 2006
Report to: Accounting Supervisor
Handle full set of account, Journal, Financial Statement (Balance Sheet, Income
Statement, Capital Statement), Stock Take, Reconciliation Report of Cash, AP/AR,
Liabilities, Purchase and Sales, etc.
Checking All Document from Vendor.
Input Vendor Report from Each Store
Journal for Each Store and Input in Oracle Program.
Journal Patty Cash Each Store.
Preparation Adjustment / Memorial Journal.
Checking Sales Report and Input in Oracle Program.
Checking Transfer In / Out of Inventory and Fixed Asset.
Conduct Stock Opname at Store.
Preparation Loss and Profit Statement from Each Store.
Responsible for Analyzing Loss and Profit from Each Store.
PT WAHANA ARTHAHARSAKA.
As Accounting Staff
October 8th 2001 – April 30th 2002
Report to: Accounting Supervisor
Handle full set of account, Journal, Financial Statement (Balance Sheet, Income
Statement, Capital Statement), Stock Take, Reconciliation Report of Cash, AP/AR,
Liabilities, Purchase and Sales, etc.
Preparation Sales Report Journal.
Preparation Patty Cash Journal.
Preparation Expense Journal.
Preparation Recapitulation of Purchase Order.
Preparation Adjustment / Memorial Journal.
Reconciliation and Responsible of Account Payable and Account Receivable.
Reconciliation Bank.
Conduct Stock Opname at Warehouse.
Preparation Summary Inventory and Fixed Asset.
Preparation Profit and Loss Statement.
Responsible for Profit and Loss Analysis
PT SUBA INDAH Tbk.
As Accounting Staff
February 15th 2000 – February 15th 2001
Report to: Accounting Supervisor
Responsible for Finish Good Inventory ( Syrop Marjan )
EDUCATION
BOGOR Elementary “Panaragan2“
West-Java 1984 - 1990
BOGOR Junior High School 6
West -Java 1990 – 1993
BOGOR Senior High School 4
West –Java 1993 – 1996
JAKARTA Bachelor of Economic, STIE YAI,
Majoring in Accounting
2006
OTHER EXPERIENCE
Internship PT ASTRA GRAPHIA Tbk
March 2002 Conduct Stock Opnam in Accounting
Department.
ORGANIZATION EXPERIENCE
BOGOR Vice Chairman – OSIS
1992 – 1993 Junior High School, 6
BOGOR Chairman of Sport Division
1994 – 1995 Senior High School, 4
JAKARTA Chairman of Basket Ball
1998 - 1999 STIE YAI
WORKSHOP AND TRAINING
June 2007 PMC (Professional Management
Corporation)
“THE WINNING TEAM “
3 - 4June 2010 “Personal empowerment to increase
effectiveness “by DDI
17-18 June 2010 “Negotiation Skill “ by Mark Pluss
INTEREST
Listening to music Rock n Roll
Movies Action and Comedy
Reading Magazine, All newspapers and Online
Article
Socializing
Enjoy Meeting New, Characters,
Sports Engage in New Environment.
Playing Basket Ball, Badminton,
Jogging, and extreme Sports
RERERENCE
Rector STIE YAI Maiwarni Anwar
F & A Manager Raymond Sugiyanto
PT SUBA INDAH. Tbk
Satyo L. Hadisaptro
GM HRD
PT ASTRA GRAPHIA Tbk
HR & GA Manager Moniwati Kajo
PT WAHANA
HRD Manager Cahyanul Uswah
PT PIONEERINDO
HRD Manager. Aswin Soeparman
PT LEVI” S INDONESIA
HRD Manager Mariam Katombo
PT Ericsson Indonesia