社名
社名非公開
職種
財務、会計、税務、経理
業務内容
...
The Accounting, Tax & Treasury Manager will oversee GL accounting, treasury, tax, and financial reporting functions. The role involves ensuring the accuracy and integrity of financial records, managing the accounting team, ensuring tax compliance, and producing timely and accurate financial reports. Responsibilities:- Oversee accounting operations related to the general ledger. - Plan, organize, and control all accounting operations and bookings, ensuring compliance with accounting standards. - Maintain the profit and loss statement and balance sheet, including reconciliations. - Prepare and conduct monthly/yearly closing procedures and all financial reporting (balance sheet, profit and loss, cash flow) in line with accounting standards (IFRS / local GAAP). - Maintain accounting policies and procedures. - Prepare monthly treasury reports and manage daily, monthly, and yearly cash operations, including cash forecasting. - Coordinate with external support for tax filings and handle internal/external audits and tax audits. - Act as a local business process owner for headquarters tools upgrades and a key business partner for company-wide accounting-related projects. Requirements:- Experience in a company with International Accounting Standard practices or an audit firm. - Team management experience. - Knowledge of IFRS/US GAAP. - Experience with treasury management, internal controls, and tax compliance
求められる経験
The Accounting, Tax & Treasury Manager will oversee GL accounting, treasury, tax, and financial reporting functions. The role involves ensuring the accuracy and integrity of financial records, managing the accounting team, ensuring tax compliance, and producing timely and accurate financial reports.
Responsibilities:
- Oversee accounting operations related to the general ledger.
- Plan, organize, and control all accounting operations and bookings, ensuring compliance with accounting standards.
- Maintain the profit and loss statement and balance sheet, including reconciliations.
- Prepare and conduct monthly/yearly closing procedures and all financial reporting (balance sheet, profit and loss, cash flow) in line with accounting standards (IFRS / local GAAP).
- Maintain accounting policies and procedures.
- Prepare monthly treasury reports and manage daily, monthly, and yearly cash operations, including cash forecasting.
- Coordinate with external support for tax filings and handle internal/external audits and tax audits.
- Act as a local business process owner for headquarters tools upgrades and a key business partner for company-wide accounting-related projects.
Requirements:
- Experience in a company with International Accounting Standard practices or an audit firm.
- Team management experience.
- Knowledge of IFRS/US GAAP.
- Experience with treasury management, internal controls, and tax compliance
保険
健康保険 厚生年金保険 雇用保険
休日休暇
土曜日 日曜日 祝日
給与
年収900 ~ 1,250万円
賞与
10%
雇用期間
期間の定めなし
show more
社名
社名非公開
職種
財務、会計、税務、経理
業務内容
The Accounting, Tax & Treasury Manager will oversee GL accounting, treasury, tax, and financial reporting functions. The role involves ensuring the accuracy and integrity of financial records, managing the accounting team, ensuring tax compliance, and producing timely and accurate financial reports. Responsibilities:- Oversee accounting operations related to the general ledger. - Plan, organize, and control all accounting operations and bookings, ensuring compliance with accounting standards. - Maintain the profit and loss statement and balance sheet, including reconciliations. - Prepare and conduct monthly/yearly closing procedures and all financial reporting (balance sheet, profit and loss, cash flow) in line with accounting standards (IFRS / local GAAP). - Maintain accounting policies and procedures. - Prepare monthly treasury reports and manage daily, monthly, and yearly cash operations, including cash forecasting. - Coordinate with external support for tax filings and handle internal/external audits and tax audits. - Act as a local business process owner for headquarters tools upgrades and a key business partner for company-wide accounting-related projects. Requirements:- Experience in a company with International Accounting Standard practices or an audit firm. - Team management experience. - Knowledge of IFRS/US GAAP. - Experience with treasury management, internal controls, and tax compliance
...
求められる経験
The Accounting, Tax & Treasury Manager will oversee GL accounting, treasury, tax, and financial reporting functions. The role involves ensuring the accuracy and integrity of financial records, managing the accounting team, ensuring tax compliance, and producing timely and accurate financial reports.
Responsibilities:
- Oversee accounting operations related to the general ledger.
- Plan, organize, and control all accounting operations and bookings, ensuring compliance with accounting standards.
- Maintain the profit and loss statement and balance sheet, including reconciliations.
- Prepare and conduct monthly/yearly closing procedures and all financial reporting (balance sheet, profit and loss, cash flow) in line with accounting standards (IFRS / local GAAP).
- Maintain accounting policies and procedures.
- Prepare monthly treasury reports and manage daily, monthly, and yearly cash operations, including cash forecasting.
- Coordinate with external support for tax filings and handle internal/external audits and tax audits.
- Act as a local business process owner for headquarters tools upgrades and a key business partner for company-wide accounting-related projects.
Requirements:
- Experience in a company with International Accounting Standard practices or an audit firm.
- Team management experience.
- Knowledge of IFRS/US GAAP.
- Experience with treasury management, internal controls, and tax compliance
保険
健康保険 厚生年金保険 雇用保険
休日休暇
土曜日 日曜日 祝日
給与
年収900 ~ 1,250万円
賞与
10%
雇用期間
期間の定めなし
show more