ジョブファンクション: ファイナンス&コントローリング

雇用形態: フルタイム

所在地: Taipei

国/地域: Taiwan

  • Be the key contact in relation to treasury matters such as interaction with Banks, payment means and collection method.

  • In charge FX ( foreign exchange) closing process and assist forecasting and budgeting related to FX and financing activities.

  • Monitor changes in FX needs and surpluses and report any FX risk modification in associated systems.

  • Supervise / validate bank and FX- related trial balance/general balance reconciliation statements and justifications of accounts within the required deadline.

  • Forecast Cash flows and reconcile the forecasts /actuals

  • Be responsible for the KPIs linked to processes he/she is in charge of.

  • Ensure continuous improvements of processes and work closely with other related teams (tax, legal, controlling…)

  • Check that the Group's accounting procedures and principles are correctly applied to ensure the quality and reliability of the Group’s accounts.

  • Prepare consolidation reporting and end-of-year local accounts, tax and legal statements, etc.

  • Other ad-hoc projects.

Preferred Qualification:
  • 3-4 years big 4 CPA firm working experience ( in-change level) .

  • Good communication and interpersonal skills.

  • Good problem- solving skill and high degree of agility.