1. 處理日常帳務及會計月結作業,並確保其遵循IFRS準則
2. 管理報表編制及費用分析(ex. P&L analysis)
3. 固定資產會計記錄和更新管理財產清冊
4. 營業稅、營所稅等各項稅務申報作業
5. 各類扣繳申報調節表編制
6. 配合會計師查帳作業
7. 其他專案支援/主管交辦事宜
1. Manage day-to-day and monthly accounting transactions and monthly closing procedures, ensuring reliability and accuracy in accordance with IFRS standards.
2. Generate monthly management reports and conduct cost analysis (e.g., P&L analysis).
3. Maintain and update records for fixed asset accounting and management property lists.
4. Handle various tax declarations, such as business tax and business income tax.
5. Compile various withholding declaration adjustment tables.
6. Support annual audits and ensure documentation is available for audit upon request.
7. Provide support for other projects and tasks assigned by the supervisor.
**To ensure your application is processed quickly and securely, please apply only via our career portal using the link below:
https://gorillatech.bamboohr.com/careers/104?source=aWQ9MTM%3D
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
As a Tax Associate, you will be integral to our tax operations, focusing on the preparation of complex U.S. individual, partnership, and corporate income tax returns. Your responsibilities will extend from gathering essential client information for tax filing to participating actively in tax planning and risk assessment. Utilizing various tax software applications to complete returns for review will be a fundamental part of your role.
Key Responsibilities
【Tax Preparation】
• Gather necessary information for tax filings and manage assigned client lists effectively.
• Prepare tax returns for U.S. individuals, partnerships, corporations, and exempt org., ensuring accuracy and compliance with all applicable laws and regulations.
• Work proficiently with various tax and accounting software applications to ensure returns are completed accurately and efficiently for review.
【Tax Consulting Support】
• Assist with tax consulting projects, offering responsive support to clients and vendors.
• Implement standardized processes and procedures, providing constructive feedback for any necessary improvements.
• Collaborate with outside professionals to prepare ad hoc tasks and information as required.
【Risk Identification】
• Recognize and provide timely recommendations to potential risks associated with tax matters.
【Administrative Duties】
• Perform key administrative tasks, including billing and engagement letter preparation, ensuring accuracy and attention to detail.
Why join us?
• Professional Growth: build expertise in U.S. tax compliance, consulting, and cross-functional collaboration, establishing a solid foundation for long-term career advancement.
• High-Impact Role: contribute directly to clients' financial situation and efficiency, playing a pivotal role in shaping their business success.
• Supportive Environment: work in a team that prioritizes collaboration, values your input, and encourages continuous learning and professional development.
• Advanced Tools: leverage tax and accounting software to optimize processes, ensuring accuracy and efficiency.
How you will contribute
• Audit sales figures in the system to ensure accuracy. Verify the sales data with financial record.
• Monitor and record stock transactions in system and conduct regular physical inventory counts. Identify and investigate the discrepancies or issues with inventory.
• Prepare monthly closing related entries.
• Ensure the accuracy and completeness of monthly accrual information per group entities instruction, so that provides the essential information for strategic decision-making.
• Ensure IC transactions and reconciliation match with group entities and consistently reports are correct.
• Manage fixed assets, depreciation and/or amortization calculation accuracy and update in due course continuously.
• Ensure VAT information is complete and correct. Declare VAT data online bimonthly.
• Collect and input lease information in the system (IFRS16).
• Support external / internal audit and provide the responsible PBC. Ensure the accuracy of Tax filing and statutory report.
• Delivery of effective communication with the brands to collect feedback and build up professional service.
• As part of team backup program, fully support the team to ensure the normal operation of the team smoothly.
• Participate in Ad hoc projects as assigned.
***This is NOT a fixed-term or temporary job***
The role is responsible for the support of the end-to-end delivery of finance activities for a globally recognised banking and financial services sector client to enable the achievement of their real estate goals. The role will carry out a variety of end of month accounting and finance-related activities and will be required to liaise effectively with facilities, real estate services and project management peers, both within Taiwan and regionally.
Accountabilities
• Assist the Country Finance and Operations Leads with the delivery of the client's annual budget and monthly forecasting for Taiwan
o Working closely with operations teams to build and validate annual bottom-up budgets.
o Identification of potential risks impacting the full year budget and capturing those within monthly forecasts
• Assist with month-end accounting and finance related tasks (accruals, review and preparation of government subsidy allocations, payment processing etc), including the provision of information to client stakeholders for situations in which a dependency exists.
• Ensure compliance with all necessary SOX audit controls.
• Provide financial data and information as directed and in a timely manner.
• Provision of billing support and receivables management from a Cushman & Wakefield corporate perspective.
• Provision of substantiating documentation to support balance sheet reconciliations.
• Working closely with operations teams to ensure vendor compliance as it relates to the timely submission of invoices.
• Working across multiple financial systems to carry out the above tasks.