[´ã´ç¾÷¹«] Banking and Treasury • Manage treasury operations, including local and overseas payments using the group treasury system. • Responsible for tax payments using the local Internet banking system. • Monitor bank accounts and reconcile transactions to ensure accuracy and completeness. • Monitor cash-sweeping activities during the month. • Prepare monthly treasury reports for the closing package. • Prepare monthly cash flow status reports and support cash forecast to monitor cash availability.
Accounting and Financial reporting • Responsible for stock IR in SAP and monitoring accounting treatment related to stock transactions. • Manage import taxes for closing and posting in MIRO. • Prepare periodic stock reports, ensuring accuracy and compliance with internal policies and procedures. • Reconcile GIT balance for monthly closing. • Monitor pending GR/IR transactions with the local brand team. • Reconcile intercompany balances with the local team and brand¡¯s HQ. • Prepare the yearly stock counting plan for all BTQs and create a report for management. • Prepare monthly group closing packages (PL & BS) in a timely manner. • Responsible for BS reconciliation reports to manage clean BS accounts. Statutory reporting and Tax related • Support the preparation of corporate tax filings. • Actively prepare local statutory audits and financial statements as per Korean GAAP. • Support BEPS preparation
[ÀÚ°Ý¿ä°Ç] • Degree holder • Minimum 5 years of experience in finance and accounting • Experience in the retail industry will be advantageous • SAP experience is a must • Strong knowledge of accounting principles • Attention to detail and accuracy in data entry and record-keeping • Ability to work independently, meet deadlines, and manage priorities • Excellent communication skills to effectively interact with personnel at all levels • Good command of written and spoken English
|
[ÀÚ°Ý¿ä°Ç] °æ·Â»çÇ×: °æ·Â(5³â ÀÌ»ó 15³â ÀÌÇÏ) Çз»çÇ×: ´ëÇб³(4³â)Á¹¾÷ Á÷¹«±â¼ú: SAP FI
|