・Lead/supervise/conduct handling of the invoices from vendors, employee expense claims and journal entries of Account Payable.
・Design/lead/conduct procurement-to-pay processes and payments of the invoices appropriately.
・Update/maintain accurate financial records and general ledger postings.
・Collaborate with internal/external departments to resolve issues related to AP and payments.
・Lead preparation for monthly/quarterly/annual accounting close of the company’s entire OpEx/contra revenue/inventory in compliance with USGAAP and company policies with accuracy and timeliness, supporting Financial Accounting Manager and Finance Director.
・Lead coordination with Corporate Treasury and to handle/monitor/control deposit of cash and cash equivalents in the company bank accounts and preparation of bank account related documents and journal entries.
・Manage banking administration and cash flow activities, including liaising with banking partners, forecasting and securing approvals for high-value payments, executing fund transfers, and supporting loan estimations and refinancing.
・Lead/collaborate with and support FP&A on OpEx management and cashflow forecast.
・Work with HQ and Region Finance to address inquiries and accounting/SOX issues.
・Collaborate in managing internal/external audits including Taxes, SOX, Financial, BS Review, and Business processes.
・Take full ownership of SOX process controls related to AP/Treasury/Procurement.
・Lead “projects” to drive more efficient operations and processes in collaboration with business partner.
・Proactively drive and/or support strategic initiatives by identifying and implementing process improvements, independently managing small-scale reviews, and driving continual improvements.
■休日:完全週休二日制, 土, 日, 祝日, 年末年始