1. 財務會計與資金管理
•支援財務經理執行財務會計工作
•在 ERP 系統中執行應付帳款/應收帳款/成本會計/固定資產,並生成報表進行分析
•協助編製年終帳目及法定帳目
•稅務申報與存貨處理
•準備並分發準確的預扣稅(WHT)對帳,確保遵循所有當地稅務規範並完成適當的稅款支付
•支援財務經理執行財務帳簿與紀錄,並確保符合所有當地法規
•支援內部控制及會計流程簡化與改善
•準確執行客戶發票與付款,並將資料整合至 ERP 系統
•擔任台灣財務作業的 ERP 協調員
•準備付款清單,並控制支出與現金流
2. 財務分析與報告
•支援開發並與關鍵利害關係人合作,進行財務與成本/差異分析
•編製損益表(P&L)及財務報告(依品牌、類別、市場等)
3. 其他
•辦公室管理的一般行政工作
•與國外IT窗口溝通協調資訊設備權限
•財務總監或財務經理指派的專案
1. Financial Accounting and Treasury
• Support Finance Manager to execute Financial Accounting
• Execute AP/ AR/ Cost accounting/ Fixed Asset in ERP and generate report for analysis
• Assisting with the preparation of year-end accounts and statutory accounts
• Tax reporting and inventory processing
• Prepare and distribute accurate WHT Reconciliation and ensure all local tax guidelines are followed and all appropriate tax payments are made.
• Support Finance Manager to execute financial books and records being kept and comply with all local regulations
• Support internal control and accounting process simplification and improvement
• Execute Customer Invoice and payment with accuracy and data harmonization into ERP
• Act as ERP coordinator for local finance operation
• Preparing payment list, and controlling expenditure and cash flow
2. Finance Analysis and Reporting
• Support to develop and work with Key Stakeholders in financials and Costs/Variance analysis
• Prepare P&L and Multi-Dimension Reporting (By Brands, Category, Market..etc..)
3. Others
• General admin for office management
• IT coordination
• Projects to be assigned by Finance Director or Finance Manager
■Job Summary:
We are seeking a detail-oriented and analytical Financial Analyst to join our team. The ideal candidate will be responsible for tracking and analysing a company's financial performance and market conditions against AOP/forecast and helping senior management to make tactical and strategic decisions by providing regular reports and financial insight.
■Key Responsibilities:
- Analyse financial data and create financial models for decision support
- Forecast future revenues and expenditures to establish cost structures and determine capital budgeting
Monitor and analyse monthly operating results against budget/forecast.
- Report on financial performance and prepare for regular leadership reviews
- Develop financial models, conduct benchmarking and process analysis
- Identify trends, advise the company and recommend actions based on sound analysis
- Prepare and maintain financial planning, reporting, and budgeting systems
- Work closely with the accounting team to ensure accurate financial reporting
- Assist with pricing strategies, financial risk assessments, and investment opportunities
- Present financial summaries and business recommendations to management
■Qualifications:
- Bachelor’s degree in Finance, Economics, Accounting, or a related field
- 5 years of experience in financial analysis, planning, or related field
- Strong understanding of financial statements, budgeting, and forecasting
- Proficiency in Microsoft Excel and financial modelling
- Experience with financial software and ERP systems (e.g., SAP, D365, Essbase)
- Excellent analytical, problem-solving, and decision-making skills
- Strong attention to detail with the ability to manage multiple projects
- Effective communication and presentation skills
■Preferred Skills:
- CPA, CFA, or other relevant certifications
- Experience in retail industry would be advantageous.
- Familiarity with data visualization tools (e.g., Power BI, Tableau)
<DUTIES AND RESPONSIBILITIES>
I. Financial Management
• Prepare and analyze financial reports.
• Assist in the preparation of monthly, quarterly, and annual consolidated financial statements.
• Support the annual budgeting and rolling forecasting processes.
• Conduct variance analysis and provide insights to support management decision-making.
• Assist in cash flow planning and banking transactions.
• Ensure the timely delivery of accurate financial reports, including income statements, balance sheets, and cash flow forecasts.
II. Accounting Operations
• Handle daily accounting entries and manage monthly, quarterly, and annual closing processes.
• Ensure accuracy of journal entries in compliance with accounting standards.
• Oversee accounts receivable, accounts payable, fixed assets, and depreciation.
• Process tax filings (e.g., VAT, corporate income tax) and prepare audit documentation.
• Support payroll calculations and disbursement processes, ensuring collaboration with the HR department.
III. Internal Control & Compliance
• Assist in establishing and maintaining internal control procedures for financial and accounting processes.
• Support internal and external audits by providing required documentation and explanations.
• Ensure that financial and accounting operations comply with company policies and regulatory requirements.
IV. Cross-Functional Collaboration
• Assist the Finance Manager in planning and allocating daily tasks to ensure efficient team operations.
• Collaborate with departments across the organization to provide financial and accounting support.
• Drive process improvement initiatives and implement cost control measures.
<REQUIRED SKILLS & EXPERIENCE>
• Bachelor's degree or higher in Finance, Accounting, Business Administration, or a related field.
• Minimum of 5 years of experience in finance or accounting.
• Familiarity with IFRS, Taiwan tax regulations, and accounting standards.
• Proficiency in ERP systems and Excel.
• Strong proficiency in English.
• Experience in accounting firms is a plus.
• Possess excellent cross-functional communication skills and experience in report preparation.
• Experience in staff supervision or team collaboration.
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https://columbiasportswearcompany.wd5.myworkdayjobs.com/CSC_Careers/job/Taipei-City-Taipei-City-Taiwan-Region/Sr-Accounting-Assistant_R-019749-1
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Perform a variety of accounting activities in accordance with accounting principles and standards to provide accurate and reliable financial information to management and ensure that the company will comply with all relevant regulations, laws, and reporting requirements. This position will work closely with liaison office personnel and handle day-to-day bookkeeping.
• Conduct month-end / year-end close process and maintain a complete and accurate general ledger in accordance with US/Local GAAP and reporting schedule so the liaison office can keep a full and reliable statement of its financial position
• Collect, compile, verify, analyze, and reconcile financial information and prepare financial reports and bank reconciliation to assist the management in making financial decisions based on accurate and timely information
• Follow established procedures and guidelines to accurately and timely process account payables
• Maintain financial security by following internal control procedures, answer related-questions by researching and interpreting internal control policies and regulations
• Assist financial coordination between the company and local vendors
• Assist with the preparation and coordination of the audit process
• Prepare tax payments and file tax returns in accordance with income tax, withholding tax, and value-added tax regulations to ensure the liaison office fulfills its tax obligation and is in compliance with the tax laws
• Provide technical accounting advice to liaison office personnel to help them understand financial guidelines and manage their financial responsibilities
Job Purpose:
Ensure sound internal controls are in place and manage tax related planning, application & reporting.
Your Role:
1. Work with internal colleagues and external auditor to ensure all required information are provided on time and the external reports are fairly presented and filed on time
2. Prepare and process dividend distribution and its tax filing
3. Monitor transfer price quarterly with Group tax
4. Prepare information to tax consultant and review transfer price report
5. Work with ABP to support business initiatives to ensure accounting, tax and regulation compliance
6. Coordinate and prepare risk management report
7. Process inventory and fixed asset disposal tax filing
8. Process insurance policy renew and claim handling
9. Plan and perform inventory and fixed asset physical count
10. Manage and apply the investment tax credit
11. Prepare tax treaty application
12. Prepare intercompany contracts
13. Review leasing and other assigned contracts
14. Timely update SOP and provide user trainings
15. Plan, coordinate, review internal control and perform ICS tests
16. Ensure group/local policies and local regulation compliance
17. Prepare local management report and do analysis
18. Ad Hoc Reporting and Projects
Who You Are:
- Bachelor’s degree or above in Accounting, Finance, Business Administration, or Economics
- Working Experiences: At least 3 years auditor/GL/Tax work experience in an MNC. Experience from Big 3 CPA firms is a plus.
- Good spoken and written English.
- Familiar with IFRS, EAS, Taiwan Tax Regulation, and Internal Control Framework
- Detail-oriented and positive working attitude.
- Can work under pressure in a fast-paced, changing environment.
- Self-motivated and willing to take challenges
- Good organization, communication, analytical and problem-solving skills
- SAP is a plus