C&B specialist

Mission: This role is Manage treasury operations, cash flow, tax compliance, and tax risk analysis to support efficient business operations.
Financial Statements & Accounting
1. Generate and execute outgoing payments, ensuring correct authorization is obtained and accurate information is provided to the bank to process.
2. Ensure accurate bank reconciliations for all bank accounts and other balance sheet relating to cash.
3. Record cash related transactions in line with bank statement information; also provide actual cash flows.
4. Ensure all monetary transactions are comply with the internal and external regulations.
5. Manage and update the cash pooling systems between the subsidiaries and banks internationally and domestically.
6. Conduct the VAT reconciliation and filing for Korea Entity.
7. Provide financial data as tax authorities requested.
8. Monitor bank balance daily basis and manage efficiently
9. Provide high quality customer service to the business departments, in accordance with agreed service level agreements
Business Knowledge, Educational Background, and Work Experience:
Education Level: Bachelor’s degree in business or accounting.
Language Skills: Proficient in spoken and written English and Korean.
Other Soft Skills and Knowledge:
Proficiency in MS Office and SAP.
Professional accounting knowledge.
Enthusiastic and proactive mindset.
Key Challenges:
Appropriate Accounting: Demonstrate sound accounting knowledge and ensure timely processing of financial transactions.
Effective Communication: Maintain a proven track record of excellent communication skills.
If you meet these qualifications and are ready to contribute to our team, we encourage you to apply!
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