<DUTIES AND RESPONSIBILITIES>
I. Financial Management
• Prepare and analyze financial reports.
• Assist in the preparation of monthly, quarterly, and annual consolidated financial statements.
• Support the annual budgeting and rolling forecasting processes.
• Conduct variance analysis and provide insights to support management decision-making.
• Assist in cash flow planning and banking transactions.
• Ensure the timely delivery of accurate financial reports, including income statements, balance sheets, and cash flow forecasts.
II. Accounting Operations
• Handle daily accounting entries and manage monthly, quarterly, and annual closing processes.
• Ensure accuracy of journal entries in compliance with accounting standards.
• Oversee accounts receivable, accounts payable, fixed assets, and depreciation.
• Process tax filings (e.g., VAT, corporate income tax) and prepare audit documentation.
• Support payroll calculations and disbursement processes, ensuring collaboration with the HR department.
III. Internal Control & Compliance
• Assist in establishing and maintaining internal control procedures for financial and accounting processes.
• Support internal and external audits by providing required documentation and explanations.
• Ensure that financial and accounting operations comply with company policies and regulatory requirements.
IV. Cross-Functional Collaboration
• Assist the Finance Manager in planning and allocating daily tasks to ensure efficient team operations.
• Collaborate with departments across the organization to provide financial and accounting support.
• Drive process improvement initiatives and implement cost control measures.
<REQUIRED SKILLS & EXPERIENCE>
• Bachelor's degree or higher in Finance, Accounting, Business Administration, or a related field.
• Minimum of 5 years of experience in finance or accounting.
• Familiarity with IFRS, Taiwan tax regulations, and accounting standards.
• Proficiency in ERP systems and Excel.
• Strong proficiency in English.
• Experience in accounting firms is a plus.
• Possess excellent cross-functional communication skills and experience in report preparation.
• Experience in staff supervision or team collaboration.
Job Description;
- Overview full set of accounts for the Company.
- Review monthly, quarterly, half yearly and yearly performance report, analysis of accounts, management/statutory reporting.
- Review annual budget, periodic forecast of cash flows/financial results and monitor actual performance against budget.
- Ensure timely and accurate reporting of financial reports and compliance with the Company policies and accounting standards.
- Ensure all regulatory reporting and filing obligations are met, including liaison with auditors, tax agents, bankers and other statutory authorities on internal & external audit matters.
- To implement and monitor the operational procedures/systems.
- Custodian of Company assets and assist in controlling Company expenses.
- To monitor all administrative work
**我們希望您具有**
- 積極主動、正直誠信,具備高穩定性與強烈責任感
- 邏輯清晰、數字敏銳,擅長跨部門溝通與組織協調
Responsible for analyzing and managing the company’s equity portfolio, primarily focused on Taiwan equities, and also international equity and fixed-income opportunities to improve diversification and long-term returns.
主要負責公司股權投資組合的研究與管理,投資標的以台股為主, 並研究海外股票與債券投資機會,以提升資產配置與報酬穩定性。
1. Conduct research and valuation of listed equities股票研究
2. Provide investment recommendations and portfolio rebalancing suggestions估值分析與投資建議
3. Monitor performance and prepare regular investment reports定期追蹤績效並撰寫投資報告
4. Explore new opportunities in domestic and overseas markets探索國內外市場的新投資機會