1. Oversee the daily accounting operations and review tax declarations for Swiss companies.
2. Conduct contract reviews and provide financial insights to inform strategic decision-making.
3. Review cash forecasting and ensure effective position management.
4. Perform timely review of monthly closing reports, including analysis of management and statutory reports.
5. Prepare consolidated financial statements for the Swiss holding company in preparation for audits by external accountants.
6. Collaborate with both Taiwanese and Swiss auditors on related audit matters to ensure compliance and accuracy.
7. Work closely with planning teams to monitor progress towards achieving transfer pricing targets set for the Swiss entity.
8. Partner with the Company Secretary to facilitate relevant documents of Board of Directors (BOD) meetings and Annual General Meetings (AGMs).
9. Lead ad-hoc projects as required, ensuring timely execution and alignment with organizational goals.
Introduction to the job
Do you like challenges and do you want to work in a fast pacing supply chain environment to support some of the biggest semiconductor companies worldwide? Are you familiar with Logistics Operations and like to managing urgent demands on a daily basis?
If this sounds like you and if you have a strong customer oriented mindset, here is your mission.
Role and responsibilities
For our Global Operations Center in Taiwan we are searching for Supply Chain Professionals. You fulfill the demand of our customers for spare parts and tools for their maintenance activities on some of the most complex machines in the right quantity and at the right time & cost.
Time is of the essence to ensure a seamless production of our customers without interruptions on our machines.
-Handling of urgent material requests from worldwide customers in a rolling 24/7 shift system with the right customer focus, while meeting all milestones related to communication and execution
-Monitoring of worldwide shipments
-Ability to resolve complex issues and drive improvements to further optimize processes
-Ability to support escalations and provide communication proposals for review
-Constructive and reliable communication with worldwide stakeholders from all departments within ASML
-This position requires shift work.
Education and Experience
Bachelor's Degree in related subject i.e. Supply Chain Management, Information Science, Engineering etc. preferred
-Minimum 1 year of relevant experience in an international company, semiconductor industry is preferred
-A tactical thinker with strong interpersonal and communication skills
-Analytical thinking and ability to organize and prioritize workload
Skills
Working at the cutting edge of tech, you’ll always have new challenges and new problems to solve – and working together is the only way to do that. You won’t work in a silo. Instead, you’ll be part of a creative, dynamic work environment where you’ll collaborate with supportive colleagues.
There is always space for creative and unique points of view. You’ll have the flexibility and trust to choose how best to tackle tasks and solve problems.
To thrive in this job, you’ll need the following skills:
-Stress-resistant; act under high pressure
-Flexible; willing to go the extra mile for the customer
-Excellent professional communication in English, written and oral
-Drive for results; does not stop until solution has been found, even when obstacles arise
-Team player
-Change management competencies
-Convincing, pro-active and “can do” mentality
-Cultural awareness
-Experience with ERP system(s), SAP R/3 knowledge preferred
-Ability to prioritize
Diversity and inclusion
ASML is an Equal Opportunity Employer that values and respects the importance of a diverse and inclusive workforce. It is the policy of the company to recruit, hire, train and promote persons in all job titles without regard to race, color, religion, sex, age, national origin, veteran status, disability, sexual orientation, or gender identity. We recognize that diversity and inclusion is a driving force in the success of our company.
Need to know more about applying for a job at ASML? Read our frequently asked questions.
WT Group, a Taiwan-headquartered multinational company with 150+ global sites. This role offers broad exposure to cross-border operations, international collaboration, and diverse financial challenges. Join us to shape global finance in WT Group.
1.協助建立並維護供應鏈系統之資料管理制度,確保採購、庫存、出貨等關鍵數據的準確性與即時性,以支援財務結帳與成本分析。
2.協助執行集團制定之營運政策,包括成本管控、採購效益分析、庫存週轉率與毛利率追蹤,定期覆核各項政策之執行效果。
3.規劃並推動企業內部流程整合專案,如 RPA 對帳自動化、存貨盤點數據整合、採購付款流程優化,財務系統升級等專案,並與需求單位及 IT 部門協調溝通。
4.依管理目標定期召開經營會議,針對成本差異、預算達成率、採購合約審查、營運資金週轉等指標進行分析、監控與追蹤
5.主管交辦之其他事項。
●職稱 Job Title:Finance and Accounting Manager(IC Role)財會經理(個人職能角色, 不須負擔管理責任)
●地點 Location:台北,Taipei
●部門 Department:財務與會計 Finance & Accounting
●職位類型 Type:全職/中高階職位 Full-time / Mid-Senior Level
我們正在尋找一位細心且經驗豐富的 Accounting Manager(個人職能) 加入我們的財務團隊。
主要負責從集團帳務、月結、財報、所得稅計算、合併報表分析到流程優化等全盤會計作業。
你將與跨部門團隊及外部會計師緊密合作,確保多個實體的財務營運準確且即時。
。這個職位非常適合喜歡實作、具備高度責任感、追求成就感、同時能兼顧細節與團隊全局思考的專業人士。
●主要職責 Key Responsibilities
---管理台灣與境外實體的帳務、月結、季結與年結流程
Manage full set of books for Taiwan and offshore entities, including monthly, quarterly, and annual closing.
---編製財務報表,符合 IFRS 或當地會計準則
Prepare and review financial reports in accordance with IFRS or local GAAP.
---編製與分析集團合併財務報表
Prepare and analyze consolidated financial statements across entities.
---協調年度審計、稅務申報、與銀行往來事項
Liaise with auditors, tax advisors, and banking partners.
---處理公司內部往來帳與應計項目
Handle payroll posting, intercompany reconciliation, and accruals.
---準時提交並確保海內外公司正確的稅務申報(營業稅、扣繳、所得稅等)
Ensure timely and accurate tax filings (VAT, withholding tax, income tax, etc.)
---優化帳務流程與會計系統自動化並協助導入AI工作流程
Drive improvements in workflows and accounting automation.
---協助預算控管、財務報告與成本及利潤專案分析
Support budget control, financial reporting, and ad hoc analysis.
---維持內控制度與政策一致性
Maintain internal controls and accounting policy compliance.
●職位條件 Qualifications
---會計、財務或相關科系學士以上學歷
Bachelor’s degree or higher in Accounting, Finance, or related field
---至少四年於「四大會計師事務所」審計部門之經驗(必要條件)
Minimum 4 years of experience in the audit practice of a Big Four accounting firm (required)
---至少五年整體會計相關工作經驗,有科技、SaaS 或跨國企業經驗尤佳
At least 5 years of total accounting experience; experience in tech/SaaS/multinational environment is a plus
---熟悉台灣稅務、IFRS 及/或合併報表編製
Strong knowledge of Taiwan tax, IFRS, and hands-on consolidation experience
---熟悉 ERP / 財務系統(Quickbook, NetSuite, SAP)
Hands-on experience with ERP/accounting systems
---精通 Excel / Google Sheets,具備良好分析與報表能力
Proficient in spreadsheet tools with strong analytical skills
---中英文流利(口語與書寫)
Proficiency in Mandarin and English (spoken and written)
---有TW/US會計師證照者優先(非必要)
CPA is a plus, but not mandatory
★★適合這個職位的你 You’ll Thrive Here If You★★
---喜歡獨立工作並具備高度責任感
Enjoy working independently with a strong sense of ownership
---能靈活切換細節與整體思維
Comfortable switching between detailed execution and high-level strategy
---積極主動,擅長流程優化與問題解決
Proactive and solution-oriented with a continuous improvement mindset
---能適應快速變動、高自主性的工作環境
Thrive in a fast-paced and dynamic work environment
★★加入我們!Join Us!★★
我們正在尋找的不僅是一位會計經理,更是一位能夠深入了解財務操作、具備審計思維、並能獨當一面的關鍵夥伴。
若你擁有四大背景、又喜歡實作與參與制度建立,這將是你絕佳的下一步。
歡迎立即投遞履歷,或聯繫我們的招募團隊以了解更多!
We’re excited to meet you!
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
• Ensure F&A activities are following company policies & procedures as well as local tax and accounting regulations.
• Ensure the accuracy and timeliness of payments to vendors, staffs and the Independent Business Owners.
• Review daily cash transactions, weekly cash report and bank reconciliations.
• Review and approve purchase requests, payments, stock adjustment requests, and journal entries.
• Prepare or review 6-month cash forecast.
• Manage Fixed Assets related matters: e.g. purchase request, fixed asset register and accounting record, physical count, write-off, and disposal.
• Review revenue, prepaid sales, stock purchase cost, COGS and inventory record in the accounting system.
• Lead/perform physical stock count.
• Prepare or approve monthly closing related Journal Entries, review financial statements, upload closing data from Oracle to Hyperion, and provide analysis to the upper management.
• Handle bank affairs: e.g. change of signatory, open/close bank accounts.
• Handle inward/outward foreign remittance.
• Liaison with and provide required reports and information to internal and external auditors.
• File local tax and provide annual income tax statement for IBOs.
• Review Insurance Policies Renewals.
• Prepare Annual Budget and mid-year Forecast.
• Monitor and control budget vs. actual expenses.
• Provide profit & cost analysis by product for pricing set up or adjustments.
• Participate in local team, regional finance team or HQ finance meetings and complete assigned ad-hoc projects or tasks by the management team.
• Lead and assist in accounting and banking system migration.
• Lead and manage the F&A staffs and perform performance reviews.