The Position
The Finance & Accounting Specialist will be responsible for daily accounting operations, month-end and year-end closing, tax compliance, and audit support. This role requires solid accounting fundamentals, hands-on tax experience, and the ability to work independently while collaborating with internal and external stakeholders to ensure financial accuracy and regulatory compliance.
Task & Responsibilities:
1. General Ledger & Closing Management
• Lead and support all month-end and year-end closing activities (GL/ AP/ AR), including the preparation of financial reports and necessary supporting documents.
• Ensure high-quality, efficient processes and timely completion of all financial tasks.
• Maintain and ensure the accuracy of accounting processes and principles.
2. Tax Management & Compliance
• Manage local and corporate tax affairs, including Corporate Income Tax (CIT) and Surtax returns.
• Responsible for VAT reconciliation (incoming/outgoing VAT, receivables, and expenditures) and formal declarations.
• Handle Withholding Tax (WHT) reconciliation and filing.
• Manage tax accounting, tax audits, and the preparation of tax applications.
• Prepare Financial Statements, Transfer Pricing (TP) reports, Country-by-Country Reporting (CbCR), and other tax-related reports.
3. Cash & Asset Management
• Manage cash flow, including the preparation of cash flow statements and forecasts.
• Monitor daily and weekly cash positions.
• Provide support for Fixed Assets management and Vendor Master maintenance.
4. External Audit & Stakeholder Relations
• Coordinate audit activities with CPA firms and external auditors.
• Provide necessary reports and explanations to tax authorities regarding CIT, WHT, and other compliance matters (e.g., finished goods disposal).
5. Other Responsibilities
• Support ad hoc projects and tasks assigned by management
• Participate in process improvement, system optimization, and internal control enhancement initiatives
Requirements:
• Education: Bachelor’s degree in Accounting, Finance, Business Administration, or a related discipline.
• Experience:
• At least 2 years of relevant working experience.
• Experience in a CPA firm is highly preferred.
• Experience in the Pharmaceutical industry is a plus.
• Professional Knowledge: Familiarity with local tax regulations and solid experience in handling local tax matters.
Capabilities & Skills
• Technical Skills:
• Advanced Microsoft Office skills.
• Familiarity with SAP.
• Language: Good command of English in both writing and speaking.
• Soft Skills:
• Self-motivated with strong attention to detail.
• Excellent time management and organizational skills.
• Strong interpersonal and communication skills; able to work independently and as a collaborative team player.
Want to Learn More?
Visit www.boehringer-ingelheim.com
Position Area
Finance
Position Area
Taiwan, Taipei
Organization
TW – Boehringer Ingelheim Taiwan Ltd
Schedule
Full time