1. 海外子公司財務會計帳務審核及稽查。
2. 各項財務相關分析及報表,並對管理階層作報告。
3. 會計師查核資料審閱、分析、追踪。
4. 提供並分析其他管理決策所需之管理會計資訊。
5. 協調並進行跨各部門溝通,有效落實制度、辦法與規章。
6. 每年度定期至各子公司實地稽核、審查。
Job Description
1.Overseas subsidiary financial accounting and audit.
2.Conduct various financial analyses and prepare reports for senior management.
3.Review, analyze, and track data for auditing by accountants.
4.Provide and analyze management accounting information required for other managerial decisions.
5.Coordinate and facilitate communication across departments to effectively implement policies, procedures, and regulations.
6.Conduct periodic on-site audits and reviews at each subsidiary every fiscal year.
Responsible for assisting in Account Management for accounts under the Team including but not limited to Relationship Management, Account Profit/Profitability, Promotion of Bank Product, Credit Assessment Monitoring and Daily Operation. In addition, support Relationship Manager to coordinate with relevant Departments for smooth operation and superior customer service. Responsible for responding to customer inquiries and handling trouble shooting or complicated tasks.
- Support Relationship Manager to achieve profit target via relationship management and promoting bank products including Loan, Deposit, FX, Derivatives and other Cross Sell products.
- Support the team leader in the delivery of relevant banking services to customers, in own coverage area to meet the department's revenue targets.
- Build and maintain effective relationships with customers and understand their needs in order to provide a high quality of service, under the guidance of more experienced members of the team.
- Work in partnership with Compliance to understand local regulations.
- Work in partnership with Credit Risk Management Department on any credit issues associated with the deal.
- Respond to customer inquiries promptly and handle trouble shooting or complicated task.
- Coordinate with relevant Departments to ensure smooth processing of transaction and superior customer service while complying with internal procedures/regulations.
- Support Relationship Manager to obtain necessary internal approvals for new transaction, new accounts, renewal and deliver the product to the customers on time.
- Perform regular credit analysis, collecting information directly from customer as well as other sources and report in timely manner (including Borrower Rating Review) to avoid credit loss.
- Develop recommendations for continuous improvement of operational efficiency and support implementation.
- Assist in conducting operational activities in order to develop and maintain customer relationships.
Key Responsibilities
1. Investment Analysis and Evaluation:
● Research and identify emerging market trends, potential investment
opportunities, and areas for portfolio diversification.
● Perform detailed financial analysis and due diligence on potential investments.
● Develop and maintain an investment pipeline by leveraging industry contacts
and market insights. Actively engage in industry events, visits, and exchanges
with peers to stay abreast of market trends and uncover new investment
opportunities.
● Craft investment theses and present findings and recommendations to the
investment committee.
2. Portfolio Management:
● Portfolio Evaluation: Regularly review and adjust the investment portfolio in line
with market changes and company goals.
● Risk Management: Implement strategies to minimize risks and protect
investments
● Reporting: Provide clear, regular updates on portfolio performance to
stakeholders.
● Board Involvement: Participate in board meetings of invested companies to
offer strategic insights and oversee investment performance.
3. Strategic Financial Planning:
● Collaborate with senior management to align investment strategies with the
organization's financial goals.
● Provide insights and strategic guidance on financial matters, including capital
structure, liquidity management, and long-term financial planning.
4. Corporate Structuring and Governance:
● Design and oversee the implementation of efficient corporate structures for
designated entities.
● Ensure compliance with legal, regulatory, and internal governance standards.
● Develop employee stock ownership plans (ESOP) and other incentive
schemes.
5. Stakeholder Engagement:
● Build and maintain relationships with a broad range of stakeholders including
internal teams, external investees and partners, and industry experts.
● Effectively communicate investment strategies and decisions to diverse
audiences.
Qualification
● Bachelor's Degree in finance, economics, business administration or a related
field. Advanced degree a plus.
● At least 3 years of experience in investment management, financial analysis,
or a similar role.
● Demonstrated business acumen and decision making skills.
● Fluent in written and spoken Chinese and English
IR
海內外法人及投資人關係建立、維護與管理
組織IR相關活動(法說、論壇路演..),安排投資人面訪及會議
台股經理-Buyside
-具備<非科技>台股&海外股10年以上經驗
-良好的分析能力與溝通能力
-只出報告,不做管理
VC Analyst-Manager
-2年以上科技產業vc相關經驗
-5年可以調整Manager級別(需要一條龍作業)