ACCOUNTING ANALYST
Formosa Plastics • Livingston, NJ • Full Time
Posted on Fri, Jul 10, 2026
Accounting Analyst POSITION OBJECTIVE Ensure the accuracy, completeness, and compliance of all cash-related accounting activities by managing daily cash transactions, reconciling financial accounts, supporting month-end and audit processes, and providing reliable financial analysis and reporting for internal and external stakeholders. MAJOR AREAS OF ACCOUNTABILITY
Cash Management and MonitoringOversee daily cash activities, identify discrepancies, and ensure timely resolution of issues to maintain accurate cash positions. Account Reconciliation and Financial IntegrityPerform reconciliations of cash, investment, loan, and related accounts to ensure accuracy and compliance with accounting standards. Financial Reporting and AnalysisPrepare and analyze financial reports, including income, expense, and balance sheet accounts, to support management decision-making. Month-End and Period-End CloseSupport the monthly closing process through journal entries, reconciliations, and variance analysis to ensure timely and accurate financial reporting. Compliance and Regulatory AdherenceEnsure adherence to IRS regulations, corporate policies, and applicable accounting standards in areas such as interest calculations and financial reporting. Audit Support and Internal ControlsAssist with internal and external audits by providing documentation, responding to inquiries, and maintaining strong internal control practices. Cross-Functional and Affiliate SupportCollaborate with internal departments and international affiliates (e.g., FPC Taiwan) to deliver required financial data, reports, and analysis.
QUALIFICATION REQUIRED:
Bachelor's degree in Accounting, Business Administration, Finance, or Taxation. Previous related experience in accounting, cash management, treasury, reconciliations, or general ledger accounting is preferred. Experience supporting month-end closing, financial reporting, and audit requests is highly desirable. Knowledge of cash accounting, bank and account reconciliations, month-end closing, journal entries, financial reporting, Excel, ERP/accounting systems, interest calculations, and audit support. Proficiency in Microsoft Office (Access, Excel, Power Point, Words). Strong analytical skill and attention to detail. Good communication skills both in oral and writing in English. Ability to work with others, be a team player. Physical requirements include duties common to a regular office environment. Must have regular, reliable attendance as well as the ability to work outside the regular schedule as required.