Key Process Accountabilities

Key Activities

1.      Tax management


-Tax filings –

VAT, Special VAT for Department(특정매입),

Corp income tax, Local Tax, CBCR, BEPS, other


-Support tax affairs in Korea (alongside the Global Tax team) and be the point of contact for the business and other stakeholders, working in an integrated way with other experts within the company


-Ensure management of required Korean tax compliance and quarterly tax reporting in the region, in cooperation with APAC/Global Tax team and local finance teams


-Manage Korean tax audits (alongside the Global Tax team) and tax exposure and provide efficient tax planning for region/continent based on future developments


-Support and execute the global tax strategy of the company group of companies and contribute to a proper tax infrastructure to manage and reduce tax exposures in Korea


-Provide efficient tax advice (with respect to the Korea business) to senior management based on expected future developments


-Participate in cross-sector projects as a representative of the APAC Tax Team


-Advice on corporate income tax, withholding taxes, and other taxes as necessary (in Korea)


-Ensure the management and completion of various regional tax projects and ensure project deliverables are complete timely, within the scope



2.      Statutory Audit and Internal control (SOX), Custom duty filing


Statutory Audit

Report financial statements in a timely manner through cooperation with big accounting firm and lead all business communications related to audit.

SOX (internal control)

Ensure that proper internal controls are in place and that measurement and tracking is systematically execute in this regard.

Custom Duty Filing

Preparation of materials related to the customs duty declaration, update of the latest trends, and timely reporting to Korea customs office

3.      Intercompany Transaction  

Preparation of documents, invoices, and calculation details on the legitimacy of all intercompany transactions including MSF and royalties

4.      Treasury & Cash flow management

-Cash Forecast and analysis actual trend compared to Forecast

-Lead and communication the Global cash plan

-Preparing FX deals, cooperating in all communications with banks and APAC Treasury teams related to banking transactions

Job Requirements:


·        Bachelor’s degree in Accounting/Business Administration or equivalent to work experience



·        +5Y of professional experience in accounting/ finance, minimum 2Y of experience in Tax

Knowledge & Skillset

·       Experience with SOX / Internal Control

·       Experienced Excel user

·       Fluent in English both verbal and writing

·       Good communication skills

·       Knowledge of ERP systems (preferably SAP)

Interpersonal Skill

·       High energy and self-motivated

·       Proactively taking initiatives





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