Reference code: JR134570
Richemont, l’un des leaders mondiaux dans le secteur du luxe, possède différentes Maisons spécialisées dans la joaillerie, l’horlogerie et les accessoires haut de gamme. Chaque Maison incarne fièrement une tradition de style, de qualité et d’artisanat et Richemont s’efforce de préserver l’héritage et l’identité propres à chacune d’elle. Dans le même temps, nous nous engageons à innover et à concevoir de nouveaux produits en accord avec les valeurs de nos Maisons, à travers un processus de créativité permanente.
Overall Accounting Management (incl Team Management)
§ Oversee all financial cycles across P2P, R2R, Treasury, and Taxation, ensuring efficient, compliant, and cost-effective operations.
§ Mentor and develop team members, building core competencies, capability versatility, and career growth pathways.
§ Partner key stakeholders across regional entities and luxury Brands to communicate policy changes and drive process alignment.
§ Establish and execute a robust talent succession plan for the accounting organization.
Group/ Region/ Taiwan Project
· Drive change management for SAP-related process updates, including user training and policy compliance.
· Spearhead process enhancements across PO/VIM, SAP Concur, digital payments, and related financial tools.
Record to Report
· Implement financial reporting standards, internal controls, and transaction governance across all entities.
· Partner with Group CDG on all Taiwan-related financial reporting, ensuring accuracy and alignment.
· Manage relationships with external auditors and consultants to drive timely completion of statutory and group audits.
Procure to Pay
· Deliver a best-in-class Procure-to-Pay (P2P) process, driving operational efficiency and a seamless user experience.
· Ensure full compliance with Group procurement guidelines and authorization matrices.
· Oversee timely and accurate withholding tax filings and payment processing.
Treasury and Taxation
· Oversee cash pooling, intercompany funding, and liquidity management.
· Oversee cash pooling, intercompany funding, and liquidity management.
· Implement Group treasury initiatives to reinforce cash controls and transactional efficiency.
· Monitor and optimize local funding sources to maximize interest yield and cost efficiencies.
· Execute seamless rollout of Group Treasury policies and solutions.
· Partner with Group Tax and external tax advisors to ensure full compliance across CIT, VAT, Business Tax, and statutory filings.
· Maintain positive working relationships with local tax authorities and govern routine audits.


