Reference code: JR134570
Richemont gestisce alcune delle Maison di beni di lusso più importanti al mondo, in particolare nel settore della gioielleria, orologeria pregiata e accessori premium. Ogni Maison rappresenta l’orgoglio di una tradizione di stile, qualità e artigianato che Richemont cerca di preservare nell’identità e eredità di ognuna delle sue Maison. Allo stesso tempo, impegniamo le nostre forze nella creazione e nel design di prodotti innovativi che mantengano i valori delle nostre Maison, con un processo costantemente creativo.
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.


