公司名稱: Phase Software 德商飛思軟體有限公司台灣分公司
Required Skills
5+ years experience in the following:
Corporate accounting and bookkeeping
Taiwan tax regulations and filing processes
Preparing consolidated financial statements
Working with external auditors
Financial reporting and compliance
Strong knowledge of Taiwan accounting standards and practices
Experience with accounting software and financial management systems
Excellent attention to detail and accuracy
Strong analytical and problem-solving skills
Fluent in Mandarin Chinese and English (written and verbal)
Recommended Skills
Experience with Xero accounting software
Previous experience with IPO preparation and processes
Experience in technology company financial management
Knowledge of corporate governance best practices
Experience managing a finance/accounting team
Advanced Excel and financial modeling skills
---
Ready to take the next step in your career?
🚀 To apply for this position, submit your English CV at
https://jobs.polymer.co/phase-open-positions/33761
Please note that applications submitted outside of our website may not be processed. Thank you for your understanding!
Financial management at our company goes beyond standard accounting practices. We're seeking a skilled financial professional who can handle complex accounting responsibilities while preparing our organization for future growth, including IPO readiness.
This is a role for a Senior Accountant who excels at both day-to-day accounting operations and strategic financial planning in a growing company.
---
🚀 Here to Explore Shared Ownership, Professional Growth, and a Collaborative Work Environment! 🚀
While we embrace remote work, we occasionally need our team members to join us for in-person discussions at the office. For this reason, it's essential that you are based in Taiwan and can visit our Taipei office when needed.
Responsibilities
Oversee and manage all in-house bookkeeping and accounting operations
Handle various tax filings accurately and in compliance with Taiwan regulations
Prepare and maintain consolidated financial statements for the company and its subsidiaries
Lead financial preparations for potential IPO, including documentation and reporting requirements
Collaborate with external CPA firms during audit processes
Develop and implement financial policies and procedures
Monitor and analyze financial performance metrics
Provide strategic financial insights to management for decision-making
Complete any additional tasks or projects as assigned by management as needed