Position Impact
We are seeking a highly capable Financial Analyst to join a dynamic team within a leading, fast-evolving branded company. This role plays a critical part in consolidating financials across diverse business units and providing insights that influence company-wide decision-making. The analyst will independently lead financial evaluations that support both strategic planning and operational efficiency improvement, particularly in capital-intensive environments. Success in this role requires strong business partnership skills, a proactive mindset, and the ability to navigate cross-functional settings to deliver high-impact financial recommendations to senior leadership. Experience in international business evaluation or recurring revenue models is a plus.
Responsibilities
· Consolidate and analyze financial data across multiple business units to deliver integrated performance insights and support strategic planning
· Build financial models to project P&L, balance sheet, and cash flows.
· Provide clear, actionable recommendations through data-driven analysis to influence both tactical and executive-level decision-making
· Collaborate closely with cross-functional teams including Operations, Engineering, and Sales to align financial strategies with business goals
· Define, set, and track key performance indicators (KPIs), and develop reporting tools to monitor operational and financial performance
· Take ownership of monthly financial results review, budgeting, forecasting, and variance analysis
Qualification
· At least 6 years of FP&A experience, preferably with exposure to factory operations or hardware cost structures
· Demonstrated ability to consolidate financial data across business units and develop unified insights
· Independent, self-motivated, and capable of working with minimal supervision
· Skilled in financial modeling and scenario analysis.
· Effective stakeholder management with strong communication and persuasion skills
· Experience working in cross-functional environments
Essential Duties and Responsibilities:
Job description, the responsibilities will include, but not limited to:
* Ensure that entries and procedure comply with HQ accounting standards and internal controls.
* Coordination with cost team of overseas subsidiaries
* Process cost accounting daily matter:Goods receipt、inventory adjustments if any.
* Be responsible for Inventory & COGS ME closing with deadline in related matter accrual, including Rebate、PPV and other reports and analysis required.
* Prepare inventory related report, and requirements from Internal & External auditors.
* Ad-hoc requests、project assignments、on-site support.
Responsibilities:
1. Prepare full set of accounts including journal entries, accounts receivable and payable, inter-company balances, month-end closing independently
2. Prepare cash flow report on regularly basis
3. Review and preparation of the accounting vouchers
4. Analytical review on management reports to explain business performance
5. Handle budgeting and forecasting
6. Prepare financial statements and management reports
7. Close communicate with affiliated Companies in Overseas.
8. Coordinate periodic and year-end stock count and ensure accurate inventory record
9. Prepare statutory financial statements and liaise with external auditors and tax consultants
10. Handle ad hoc tasks and assignments as required
For Global Accounts payable (AP)
(1) Create purchase orders in Corporate Procurement system and track PO status
(2) Create finance-related reports
For TW Accounts payable (AP)
(1) Review vendor invoices (e.g., collecting information provided for VAT returns and withholding tax filing, completing stamp duty calculations, and affixing tax stamps to documents)
(2) Maintain VAT and withholding tax related reports
(3) To be the proxy of T&E expense reimbursement as needed
For both Global and TW Accounts payable (AP)
(1) answer colleagues’ questions regarding purchase orders, VAT, withholding tax, and AP related
(2) Completing other agreed finance-related tasks (collectively, the “Project Services”)
Compensation:
(1) Monthly salary NT$60,000+ (13-month guaranteed)
(2) Process leave requests in compliance with Labor Standards Act requirements
Requirements:
-Intermediate to advanced English communication skills (daily communication with global teams in English is required)
-Advanced Excel skills
-Be hands-on and able to work independently with minimal supervision
-Ability to understand processes
-A sense of urgency must be able to meet deadlines and deal with pressures
associated with those deadlines
Benefits:
-Assignment to one of the world's top 50 companies
-Comfortable and healthy work environment with height-adjustable desks and ergonomic chairs
-Free lunch box, various beverages, seasonal fruits, and stress-relief snacks
-Occasional team dining events
-Dragon Boat Festival and Mid-Autumn Festival gift boxes
Work Location:
Taipei (Neihu) or Hsinchu (East District)
[Job Responsibilities]
1. 審核廠商請採購及員工請款費用支付之發票、單據及日常帳務處理;核對收款各式報表及開立發票
2. 每月結帳之費用估計及科目餘額表編製。
3. 每月協同會計師申報各類稅務及編製調節表
4. 各項會計日/週/月報表製作
5. 須與會計師/稅務師溝通、跨部門溝通及email回覆
6. 財務流程改進專案及合約審查。
7. 專案及主管交辦事項
[Job Requirements]
1. 會計, 財務相關科系畢業並有財會經驗二年以上(具會計師事務所及中國會計.審計經驗尤佳)
2. 細心、反應快及溝通理解力強,具良好書信往來及應對能力
3. 負責任且能獨立作業,配合結帳期間加班
4. 精通Office及基本電腦操作,黯excel函數等功能
5. 熟ERP-Oracle操作尤佳
6. 具備良好英文能力者佳
[Job Responsibilities]
1. Review vendor purchase requests and employee expense reimbursement/payment invoices and documents; handle daily accounting transactions; verify various receipt reports and issue invoices.
2. Prepare monthly expense closing, accrual and account balance reports for month-end closing.
3. Collaborate with external accountants each month to file various tax returns and prepare reconciliation schedules.
4. Prepare daily, weekly, and monthly accounting reports.
5. Communicate with external accountants/tax advisors, coordinate with other departments, and respond to emails.
6. Assist in financial process improvement projects and contract review.
7. Handle ad hoc projects and tasks assigned by supervisors.
[Job Requirements]
1. Degree in Accounting, Finance, or related fields, with minimum of 2 years of experience in accounting/finance (experience in accounting firms and in PRC accounting/auditing is a plus).
2. Detail-oriented, quick to respond, with strong communication and comprehension skills; proficient in business correspondence and interpersonal communication.
3. Responsible and able to work independently, willing to work overtime during month-end closing.
4. Proficient in Microsoft Office and basic computer operations, familiar with Excel formulas and functions.
5. Experience with ERP systems—especially Oracle—is a plus.
6. Good English skill preferred.
請透過本公司官網正式提交您的職務申請,我們期待您的加入!
https://columbiasportswearcompany.wd5.myworkdayjobs.com/CSC_Careers/job/Taipei-City-Taipei-City-Taiwan-Region/Sr-Accounting-Assistant_R-019749-1
============================================
Perform a variety of accounting activities in accordance with accounting principles and standards to provide accurate and reliable financial information to management and ensure that the company will comply with all relevant regulations, laws, and reporting requirements. This position will work closely with liaison office personnel and handle day-to-day bookkeeping.
• Conduct month-end / year-end close process and maintain a complete and accurate general ledger in accordance with US/Local GAAP and reporting schedule so the liaison office can keep a full and reliable statement of its financial position
• Collect, compile, verify, analyze, and reconcile financial information and prepare financial reports and bank reconciliation to assist the management in making financial decisions based on accurate and timely information
• Follow established procedures and guidelines to accurately and timely process account payables
• Maintain financial security by following internal control procedures, answer related-questions by researching and interpreting internal control policies and regulations
• Assist financial coordination between the company and local vendors
• Assist with the preparation and coordination of the audit process
• Prepare tax payments and file tax returns in accordance with income tax, withholding tax, and value-added tax regulations to ensure the liaison office fulfills its tax obligation and is in compliance with the tax laws
• Provide technical accounting advice to liaison office personnel to help them understand financial guidelines and manage their financial responsibilities
About the Role|職務簡介
您將成為財務團隊的重要一員,負責海外子公司帳務的審核與處理,協助母公司帳務作業,推動流程優化,並回應外部機關的查詢與執行各項專案。此職位不僅要求專業能力,更鼓勵創新思維與跨部門合作,讓您在穩定中持續成長。
這是一個能讓您發揮專業、挑戰自我並參與跨國財務運作的絕佳機會。
What You Will Do|工作內容
審核並處理海外子公司帳務,確保財務資訊準確與合規
協助母公司帳務作業與月結流程,提升財務效率
優化會計作業流程與制度,推動數位化與自動化
回應外部機關(如會計師、稅務機關)之查詢,維持良好溝通
參與並執行各項財務相關專案,拓展專業視野
完成主管交辦事項,支援團隊目標達成
Who You Are|我們正在尋找的你
心思縝密:對數字敏感,能精準處理大量財務資料
反應敏捷:能在快速變動的環境中保持效率與準確性
團隊合作:樂於分享知識,與團隊共同成長
創新思維:勇於提出改善建議,提升流程效率與品質
我們重視每一位成員的聲音,鼓勵主動思考與持續學習,讓你在工作中不斷進步。
What Skills Are Required|必要條件
會計、財稅或相關科系學士或碩士學位
三年以上財會相關工作經驗,有事務所、營造或物流產業經驗者尤佳
熟悉 Excel 操作,具備基本函數(如 VLOOKUP、SUMIF、INDEX 等)應用能力
了解 IFRS 國際會計準則及營業稅/營所稅相關法規
具備良好的中英文讀寫能力
熟悉 SAP 系統者加分