Finance Manager
rhe/r1111
Tokyo, Japan
Posted Sep 11, 2026
- Full-time
Job description
What You Can Expect : Financial Accounting & Reporting Manage the full spectrum of accounting functions including General Ledger (GL), Accounts Receivable (AR), Accounts Payable (AP), fixed assets, intercompany transactions, and cash management. Ensure timely and accurate monthly, quarterly, and annual financial closing. Prepare journal entries, accruals, reconciliations, and supporting schedules. Prepare balance sheet reconciliations and account analyses. Prepare monthly management reports and reporting packages for Regional and Headquarters. Prepare annual statutory financial statements and quarterly reporting under Japanese GAAP (JP-GAAP). Ensure accuracy and integrity of financial records and reporting. Budgeting, Forecasting & Business Partnering Lead annual budgeting and periodic forecasting processes in cooperation with local management and regional finance teams. Conduct variance analysis and provide financial insights to management. Support strategic decision-making through financial analysis and business performance reviews. Provide recommendations to improve profitability, operational efficiency, and financial performance. Tax & Statutory Compliance Manage all tax-related matters, including: Corporate Income Tax Consumption Tax Withholding Tax Fixed Asset Tax Corporate Inhabitant Tax and Enterprise Tax Coordinate with external tax advisors for tax filings and compliance requirements. Support all statutory filings and government reporting requirements. Ensure compliance with Japanese accounting standards, tax regulations, and company policies. Internal Control, Audit & Risk Management Maintain and strengthen internal controls and financial governance processes. Ensure compliance with Group finance policies and reporting requirements. Support internal audits and coordinate external audit activities. Identify financial and operational risks and recommend mitigation measures. Ensure proper documentation and retention of accounting records. Cash Flow & Working Capital Management Monitor cash flow and liquidity position. Review and manage accounts receivable aging and collection activities. Support credit management and customer credit reviews. Manage payment processes for vendors, employees, taxes, and intercompany transactions. Regional & Headquarters Collaboration Work closely with APAC Finance and HQ Finance teams on: Monthly and annual reporting Consolidation package submissions Budget and forecast exercises Financial controlling initiatives Ad hoc finance projects Ensure timely submission of required reports and compliance with Group deadlines. Team Leadership Lead, coach, and develop finance team members. Set performance objectives and conduct performance evaluations. Foster collaboration, accountability, and continuous improvement within the finance function. What You Bring: Qualifications and Experience Required Bachelor's degree in Accounting, Finance, Business Administration, or related field. Minimum 5 years of progressive finance and accounting experience. Strong knowledge of accounting principles, financial reporting, and Japanese tax regulations. Experience handling monthly and annual closing processes independently. Business-level proficiency in both Japanese and English. Advanced Excel and financial analysis skills. Preferred Nissho Bookkeeping Test (Level 2 or above). CPA, Tax Accountant qualification, or equivalent professional certification. Experience in logistics, freight forwarding, transportation, or multinational companies. Experience with SAP or other ERP systems. Prior people management experience. Competencies Strong analytical and problem-solving skills High level of integrity and accountability Business partnering mindset Excellent communication and stakeholder management skills Ability to work in a multinational environment Proactive and hands-on approach Ability to manage multiple priorities under tight deadlines