●工作內容 | Job Responsibilities負責公司日常付款、銀行往來及資金相關作業Handle daily payment operations, banking activities, and cash management processes.定期執行銀行對帳與帳務核對作業Perform regular bank reconciliations and account balance reviews.協助月結與季結帳作業,包含傳票編製與費用認列Assist in month-end and quarter-end closing, including journal entries and expense recognition.協助管理發票與費用報銷流程Manage invoice processing and employee expense reimbursements.協助編製財務報表與會計帳務分析資料Support the preparation of financial reports and accounting analysis.協助年度預算編製與實際差異分析Assist in annual budget planning and variance analysis.與銀行、會計師、稅務顧問等外部單位協調聯繫Coordinate with external parties including banks, auditors, and tax advisors.主管交辦之其他財會工作Perform other ad hoc accounting or finance-related duties assigned by supervisors.● 任職條件 | Requirements具備財會或會計相關科系學士學位Bachelor’s degree in Accounting, Finance, or related field.至少3年以上四大會計師事務所審計或稅務組相關工作經驗,至少一年以上業界經驗At least 3 years of relevant experience in audit or tax teams at a Big Four accounting firm, and at least 1 year of industry experience. 熟悉 Excel 及主流財務系統操作(如:QuickBooks、SAP、Oracle 等)Proficiency in Excel and financial systems (e.g., QuickBooks, SAP, Oracle).細心、具責任感,並具良好溝通與協作能力Detail-oriented, responsible, with strong communication and teamwork skills.具英文財務文件讀寫能力尤佳Ability to read/write English financial documents is a plus.● 加分項 | Preferred Qualifications有新創公司或跨國企業經驗Experience in startups or multinational environments.熟悉台灣稅務與法遵申報流程Familiarity with Taiwan tax regulations and compliance processes.
3 years of experience required
No management responsibility