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.
【職務說明】
負責管理成本會計相關工作,包括編製分錄、維護標準成本、分析差異,以及確保存貨評價的準確性。此職務需與跨部門團隊密切合作,提供成本分析洞察,支援稽核,並及時完成財務報表。
【工作職責】
1.編製月結的成本相關分錄與存貨調節表。
2.分析與報告製造及供應相關費用,包括差異分析。
3.將標準成本與實際成本進行比較,調查差異並與製造團隊合作解決。
4.維護標準成本系統,包含設定與檢視成本標準,並與營運及供應鏈團隊合作。
5.分析存貨會計與銷貨成本(COGS),以確保財務報表的準確性。
6.與營運、工程、採購及財務團隊合作,提供成本結構與獲利洞察。
7.執行循環盤點與實體盤點,並將存貨與總帳對帳。
8.執行月結產品流動分析。
9.準備稽核所需的PBC清單與存貨相關附註資料,並協助完成半年與年度稽核相關事項。
10.編製母公司所需的月報與季報。
11.執行臨時報告與分析。
12.其他主管交辦事項。
【Position overview】
The Cost Accountant is responsible for managing cost accounting activities, including preparing journal entries, maintaining standard costs, analyzing variances, and ensuring accurate inventory valuation. This role works closely with cross-functional teams to provide cost insights, support audits, and deliver timely financial reports.
【Responsibilities】
1. Prepare end of month cost related journal entries and inventory reconciliations.
2. Analyze and report on manufacturing and supply expenses, including variances.
3. Compare standard costs to actual costs, investigating discrepancies and working with manufacturing teams to resolve variances
3. Maintain standard costing systems, including setting and reviewing cost standards in collaboration with operations and supply chain teams
4. Analyze inventory accounting and Cost of Goods Sold (COGS) to ensure accurate financial reporting.
5. Work closely with operations, engineering, purchasing, and finance teams to provide insights on cost structures and profitability
6. Conduct cycle counts and physical inventories, reconciling inventory to the general ledger
7. Perform month-end product flux analysis
8. Prepare auditors PBC list & inventory footnotes, and assist in various tasks for the semi-annual and annual audit
8. Prepare monthly and quarterly reports for parent company
9. Ad hoc reporting and analysis.
10.Other tasks assigned by supervisors.
• Responsible for on-time monthly closing and operational reporting package as per management team’s requirements.
• Lead the Finance and Accounting (FA) Department by setting goals, defining objectives, and managing team performance.
• Oversee daily finance and accounting operations to ensure efficient workflows.
• Develop and implement financial strategies, policies, and procedures aligned with the company’s objectives.
• Manage the preparation of accurate financial reports to track and reflect operational performance.
• Supervise budgeting, financial forecasting, and cash management to maintain sufficient funding and liquidity.
• Ensure compliance with legal, regulatory, and tax obligations through timely and accurate filings.
• Collaborate with Bora Bio’s senior management team to define financial strategies and manage required documentation.
• Optimize financial systems, processes, tools, and internal controls for improved efficiency and accuracy.
• Recruit, train, and retain skilled finance and accounting professionals to build a high-performing team.
• Manage relationships with partners and stakeholders, including clients, external auditors, and financial institutions
• Align financial activities with headquarters (HQ) requests and directives.
• Handle and ensure the smooth execution of ad-hoc projects as needed
※職稱及薪資核定將視個人學經歷背景作調整