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Finance Manager -

Quick Facts
Company Name:ASEA
Employment Type:Full Time
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Description

FINANCE MANAGER (location : Taiwan Taipei office)


ASEA is looking for a talented and enthusiastic Finance Manager to join our team. ASEA, a global leader in cellular health, is dedicated to providing a sustainable lifestyle by delivering high-quality health products through a direct-selling distribution model. ASEA offers first-to-market products that affect health at the genetic level. We're a tight knit team that works hard and plays hard.



SUMMARY:


The Finance Manager assists the team in fulfilling the responsibilities of the ASEA financial function. These functions include preparing and coordinating the Company's management and statutory accounting reporting. The successful candidate will have knowledge of commonly used concepts, practices, and procedures within the accounting field.



RESPONSIBILITIES:



  • Prepare and coordinate the Company's management and statutory accounting reporting in accordance with internal & external established policies and procedures to meet deadlines respectively.
  • Complete all internal management reporting on a timely basis, advise management of financial position relative to plan & past years, and highlight issues to management where applicable.
  • Facilitate monthly reconciliation between corporate books and local/statutory books
  • Prepare and coordinate the Company's budget and forecast according to defined planning timelines.
  • development and execution of the annual budget and rolling forecasts, ensuring alignment with strategic goals.
  • Manage cash flow and forecast in optimal position. This involves working with banks to negotiate the best rates and makes available all feasible payment options to customers.
  • Handle all staff related payroll matters (such as O/T..), including social insurance schemes, etc. in accordance with prevailing guideline, and ensure compliance with all relevant statutory requirements.
  • Work with the Corporate office (US) Finance department to develop and maintain accurate reports; work with local management team to ensure accurate and timely recording of payment, cash, expenses and inventory.
  • Prepare and coordinate capital planning for the Company. This includes working with Corporate for any request of unbudgeted capital spending.
  • Supply updated information on finance policies and procedures to support department, business and corporate objectives.
  • Prepare the tax entries that includes VAT, income tax, commission income tax.
  • Other duties as assigned.


QUALIFICATIONS:


  • 5-7 years' experience in public or corporate finance.
  • International accounting experience preferred.
  • Strong proficiency with Microsoft Excel required, familiarity with MS Great Plains a plus.
  • Ability to work well and communicate effectively with third party accounting professionals.
  • Familiarity with inventory and cost accounting a plus.
  • Fluent English both verbal and written (critical)
  • Communicate and coordinate effectively with corporate stakeholders, local management, and domestic service providers


If you'd like to be part of a great team, are ready to take on a challenge and make a difference within our company, apply today. We offer a competitive wage and excellent benefits.



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