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.
【Responsibilities】
▶Led group reporting system integration and development to drive global process optimization and enhance decision-making transparency.
主導集團管理報表系統整合與開發,推動全球流程優化專案,以提升跨單位資訊透明度與決策效率。
▶Reviewed annual reports and disclosures; prepared materials for public announcements and board proposals, including quarterly forecasts.
審閱年報及公開書,並提供公開發行公司公告與董事會會計議案所需資料(含季報財測底稿)。
▶Verified monthly group consolidation reports and conducted financial reconciliations and variance analysis.
確認集團合併報表系統審核月結報表,並執行財報核對與差異分析。
• 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.