Position Overview
We are seeking an experienced Accounting Manager to oversee financial reporting consolidation forecasting cash flow management and audit coordination.
This role requires strong hands-on SAP experience and the ability to manage financial reporting under both US GAAP and IFRS standards. The ideal candidate has prior experience in a large corporate environment and is comfortable working with global affiliates and a non-U.S. parent company.
Requirements
Key Responsibilities
Financial Reporting & Analysis
- Prepare and deliver monthly consolidated financial statements to the CEO
- Review quarterly IFRS closing and monthly forecast P&L reports
- Prepare analytical reports for internal and global meetings
- Support year-end audit and tax return preparation
- Prepare annual financial forecasts and budgeting analysis
Accounting Operations
- Review AR balances vendor invoices payroll expenses and employee reimbursements
- Post journal entries and ensure accurate general ledger management
- Prepare technical accounting memorandums (US GAAP & IFRS compliance)
- Manage asset accounting and reconciliation
Treasury & Cash Flow
- Manage cash flow planning borrowing reports and liquidity analysis
- Approve cash management reports and oversee financial controls
Global Coordination
- Work closely with overseas parent company and global affiliates
- Prepare reports for global corporate meetings
- Support intercompany financial coordination
Qualifications
Required:
- Bachelors degree in Accounting Finance or related field
- Strong hands-on SAP experience
- Experience in a major corporate environment
- Korean/English bilingual (professional level)
- Advanced Microsoft Office skills (Excel PowerPoint)
- Strong knowledge of US GAAP and IFRS
Preferred:
- 10 years of accounting experience
- Management background
- Strong financial analysis and data interpretation skills
Benefits
Salary & Benefits
Benefits Include:
- 100% Company-Paid Medical Dental and Vision Insurance (Day 1 eligibility)
- Company-Paid Life Insurance
- Short-Term & Long-Term Disability (100% covered)
- 401(k) with 5% Company Match (No vesting period)
- Generous PTO (up to 15 days first year; increases by tier)
- 40 Hours Wellness Day (Use-it-or-Lose-it)
- Paid Maternity Leave (12 weeks 100% paid)
- Paid Secondary Caregiver Leave (2 weeks)
- Paid Creative Leave
- 11 Paid Holidays
- $70 Monthly Lifestyle Allowance
- Cellphone Reimbursement
- 40% Employee Discount
- Educational Benefits & Employee Club Activities
Required Skills:
Key Responsibilities Financial Reporting & Analysis Prepare and deliver monthly consolidated financial statements to the CEO Review quarterly IFRS closing and monthly forecast P&L reports Prepare analytical reports for internal and global meetings Support year-end audit and tax return preparation Prepare annual financial forecasts and budgeting analysis Accounting Operations Review AR balances vendor invoices payroll expenses and employee reimbursements Post journal entries and ensure accurate general ledger management Prepare technical accounting memorandums (US GAAP & IFRS compliance) Manage asset accounting and reconciliation Treasury & Cash Flow Manage cash flow planning borrowing reports and liquidity analysis Approve cash management reports and oversee financial controls Global Coordination Work closely with overseas parent company and global affiliates Prepare reports for global corporate meetings Support intercompany financial coordination Qualifications Required: Bachelors degree in Accounting Finance or related field Strong hands-on SAP experience Experience in a major corporate environment Korean/English bilingual (professional level) Advanced Microsoft Office skills (Excel PowerPoint) Strong knowledge of US GAAP and IFRS Preferred: 10 years of accounting experience Management background Strong financial analysis and data interpretation skills
Position OverviewWe are seeking an experienced Accounting Manager to oversee financial reporting consolidation forecasting cash flow management and audit coordination.This role requires strong hands-on SAP experience and the ability to manage financial reporting under both US GAAP and IFRS standards...
Position Overview
We are seeking an experienced Accounting Manager to oversee financial reporting consolidation forecasting cash flow management and audit coordination.
This role requires strong hands-on SAP experience and the ability to manage financial reporting under both US GAAP and IFRS standards. The ideal candidate has prior experience in a large corporate environment and is comfortable working with global affiliates and a non-U.S. parent company.
Requirements
Key Responsibilities
Financial Reporting & Analysis
- Prepare and deliver monthly consolidated financial statements to the CEO
- Review quarterly IFRS closing and monthly forecast P&L reports
- Prepare analytical reports for internal and global meetings
- Support year-end audit and tax return preparation
- Prepare annual financial forecasts and budgeting analysis
Accounting Operations
- Review AR balances vendor invoices payroll expenses and employee reimbursements
- Post journal entries and ensure accurate general ledger management
- Prepare technical accounting memorandums (US GAAP & IFRS compliance)
- Manage asset accounting and reconciliation
Treasury & Cash Flow
- Manage cash flow planning borrowing reports and liquidity analysis
- Approve cash management reports and oversee financial controls
Global Coordination
- Work closely with overseas parent company and global affiliates
- Prepare reports for global corporate meetings
- Support intercompany financial coordination
Qualifications
Required:
- Bachelors degree in Accounting Finance or related field
- Strong hands-on SAP experience
- Experience in a major corporate environment
- Korean/English bilingual (professional level)
- Advanced Microsoft Office skills (Excel PowerPoint)
- Strong knowledge of US GAAP and IFRS
Preferred:
- 10 years of accounting experience
- Management background
- Strong financial analysis and data interpretation skills
Benefits
Salary & Benefits
Benefits Include:
- 100% Company-Paid Medical Dental and Vision Insurance (Day 1 eligibility)
- Company-Paid Life Insurance
- Short-Term & Long-Term Disability (100% covered)
- 401(k) with 5% Company Match (No vesting period)
- Generous PTO (up to 15 days first year; increases by tier)
- 40 Hours Wellness Day (Use-it-or-Lose-it)
- Paid Maternity Leave (12 weeks 100% paid)
- Paid Secondary Caregiver Leave (2 weeks)
- Paid Creative Leave
- 11 Paid Holidays
- $70 Monthly Lifestyle Allowance
- Cellphone Reimbursement
- 40% Employee Discount
- Educational Benefits & Employee Club Activities
Required Skills:
Key Responsibilities Financial Reporting & Analysis Prepare and deliver monthly consolidated financial statements to the CEO Review quarterly IFRS closing and monthly forecast P&L reports Prepare analytical reports for internal and global meetings Support year-end audit and tax return preparation Prepare annual financial forecasts and budgeting analysis Accounting Operations Review AR balances vendor invoices payroll expenses and employee reimbursements Post journal entries and ensure accurate general ledger management Prepare technical accounting memorandums (US GAAP & IFRS compliance) Manage asset accounting and reconciliation Treasury & Cash Flow Manage cash flow planning borrowing reports and liquidity analysis Approve cash management reports and oversee financial controls Global Coordination Work closely with overseas parent company and global affiliates Prepare reports for global corporate meetings Support intercompany financial coordination Qualifications Required: Bachelors degree in Accounting Finance or related field Strong hands-on SAP experience Experience in a major corporate environment Korean/English bilingual (professional level) Advanced Microsoft Office skills (Excel PowerPoint) Strong knowledge of US GAAP and IFRS Preferred: 10 years of accounting experience Management background Strong financial analysis and data interpretation skills
View more
View less