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      고객지원센터

      02 - 555 - 5425

      nawchoi@naver.com

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    제약/바이오전문 1등 헤드헌팅사 나우팜컨설팅

    다국적 글로벌 의약품 생산기업 재무팀 부장급(10년이상 ,강남근무)

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    등록자 : 나종성상무 24-04-25 14:36

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    다국적 글로벌 의약품 생산기업 재무팀 부장급(10년이상 ,강남근무)

    관리

    차장~부장

    무관

    무관

    서류전형 -> 1차면접 -> 2차면접

    영어 상

    2024-04-25

    채용시

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    1. JOB SUMMARY
      The main responsibility of the required Accountant is to monitor all finance and accounting operations including:
    • Financial and General Ledger Accounting
                          (Billing, A/R, A/P, GL, Cost Accounting, Inventory Accounting and Revenue Recognition)
    • Accurate and timely issuance of statutory and management reporting
    • Producing and analysing accounting data and gap analysis to budget
    • Establishing and enforcing proper accounting methods, policies, and principles
    • Cash management.
    • Tax computation and GST filing.
    Provide with necessary inputs for Budget and Forecast preparation.
    1. DUTIES AND RESPONSIBILITIES
    Financial and General Ledger Accounting
     
    • Ensures correctness of the monthly bookkeeping
    • Ensure the maintenance and reconciliation of the general ledger accounts.

    Statutory and management reporting
     
    • Ensures accuracy and timeliness in the submission of monthly, quarterly, annual reporting.
    • Provides monthly comparative commentary on the fluctuations between actual, budget, and last year figures.
    • Work closely with external auditors and tax consultants on the local statutory audit and tax filing.
    • Coordinate with corporate secretary on filing (reporting, update of directors’ particulars, passing of board resolution etc)
    • Review policy documentation to ensure effective implementation of internal control measures and compliance.
    Quarterly Forecast and annual budgeting (FP&A)
     
    • Provide with necessary information and inputs for the Finance Director to drive the rolling forecast (March, June, and October) and annual budgeting process.
    • Discuss and prepare the annual budget computation with Korea BUS Managers and salespeople.
    • Support the Finance Director to issue the presentation according to Group guidelines.
    • Cash Management

      Treasury Management
    • Prepare cash flow forecasting.
    • Coordinate with Finance Director for any funding needs to be raised to the Treasury.
    • Review and hedge FX exposures in accordance to Group Hedging policies

    • Ensure accounts receivable and credit control management.
    • Prepare A/R reports and communicate collection issues with Sales and MD to work with them any action plan required.
    • Establish and review appropriate customer credit lines,
    • Recommend payment terms and credit limits to new and existing customers.

    • Accounts Payable Monitoring
    • Timely processing of invoices from suppliers, service providers, related companies as well as expense report from staffs
    • Following up with purchaser and vendors on claims (discrepancies, damage, quality issues)
    • Periodically reconcile balances with key suppliers and service providers

    • Inventory Management
    • Ensure proper costing of inventory.
    • Monthly distribution of stock aging report to Sales for review, comment, and action
    • Review and ensure adequate provision are taken against slow moving, damaged, expired, or obsolete stock items.
    • Perform net realizable value test at each quarter end.
    • Drive the annual physical stock take.
    •  
    • PERFORMANCE MEASURES
    •  
    • Accuracy of sales records, general ledger and provisions / accruals
    • Prompt submission of all required forms and/or documents
    • Providing valued service to colleagues for day to day analysis and budget issuance
    • Execution of other periodic tasks as stated in the duties and responsibilities
    • Adherence to policies and procedures
    •  
    • MINIMUM QUALIFICATIONS
    •  
    • Expertise and experience of at least 10 to 15 years in Finance & Accounting
    • Preferred Qualified KICPA or AICPA with solid experience in maintaining full sets of accounts within an MNC (bookkeeping and accounting principles, practices, standards, laws and regulations
    • Use of ERP systems like SAP, JDE or Oracle
    • High attention to detail and accuracy
    • Excellent PC Skills (MS Word, Excel, Outlook and the like)
    • Fluent English speaking and writing
    • Strong interpersonal skills coupled and the ability to collaborate and communicate effectively with different levels of internal and external stakeholders.
    • Autonomous and self-motivated
    • Pro-active and keen to be involved in Operations of the business.