General Accounting • Manage daily accounting operations, including accounts receivable/payable, general ledger maintenance, and financial reporting. • Handle Travel & Expense (T&E) reports and reimbursements. • Handle intercompany transactions. • Manage fixed assets: update asset list, tagging, and monitor office supplies/equipment. • Filing/arrangement of accounting/finance related documents. Month-End Closing & Reporting • Ensure timely month-end closing and prepare IFRS-compliant financial reports. • Maintain and safeguard general ledger records and vouchers. • Prepare audit schedules and supporting documents. • Prepare regular financial statements and analysis reports. Tax & Compliance • Ensure compliance with Taiwan local tax requirements, including VAT, withholding tax, and corporate income tax. • Liaise with tax agents and authorities as required. Treasury & Cash Management • Manage treasury operations including cash receipts, payments, and bank reconciliations. • Monitor cash flow and ensure sufficient liquidity. Other Duties • Manage treasury and banking operations (cash receipts and payments). • Support external audits and provide necessary documentation. • Assist in budgeting and forecasting. • Collaborate closely with HQ finance team to ensure compliance with group policies. • Perform ad-hoc duties as assigned. Qualifications & Skills • Bachelor’s degree in finance, Accounting, or related field. • 5–7 years of relevant experience in accounting/finance roles. • Strong knowledge of Taiwan tax regulations and GUI system. • Ability to read and interpret English financial reports. • SAP system experience preferred. • Proficiency in Microsoft Office. • Good interpersonal and communication skills. • Ability to work independently, proactive, detail-oriented, and high integrity.
待遇面議
(經常性薪資達 4 萬元或以上)
未填寫
1. 年終獎金 2. 分紅獎金(視公司營運狀況) 3. 秋季獎金(視公司營運狀況) 4. 51勞動禮金 5. 生日禮金 6. 醫療補助 7. 員工團保 8. 膠囊咖啡機 9. 零食櫃 10. 員工聚餐 11. 下午茶 以上福利正職員工方得享有