




Summary: Niterra Manufacturera de México seeks a Finance Manager to lead their finance team, drive financial strategy, and oversee all financial operations, ensuring alignment with business objectives and long-term growth. Highlights: 1. Lead finance team and drive financial strategy and operations. 2. Oversee financial operations, budgeting, forecasting, and reporting. 3. Conduct financial analysis and provide guidance to the executive team. ***Niterra Manufacturera de México, S.A. de C.V. Dedicated to the manufacture of Automotive Parts for the ignition system and with a presence in Reynosa, it’s looking for talent for the following position:*** \*\*\*\*\*\*\*\*\*\*\*\*\*\*\*\*FINANCE MANAGER\*\*\*\*\*\*\*\*\*\*\*\*\*\*\* **Responsibilities:** Will be responsible for leading our finance team and driving financial strategy and operations. Will work closely with the executive team to ensure that our finance practices align with our business objectives and support our long\-term growth and success. **Perform tasks such as, but not limited to, the following:** · Oversee financial operations, including accounting, budgeting, forecasting, and financial reporting. · Develop and maintain financial policies and procedures to ensure compliance with legal requirements. · Prepare and distribute monthly, quarterly and annual finance reports and supporting processes. Analyze financial results against budgets and forecasts investigating variances and providing actionable insights to management. · Support business decisions by providing accurate financial forecasts, budgets and insightful analysis while also running day to day accounting and financial operations in a sales and warehouse organization. · Conduct financial analysis and guidance to the executive team to support decision making. · Manage relationships with external stakeholders, including investors, auditors, and financial institutions. · Lead the development and implementation of risk management strategies. · Ensure financial practices align with industry standards and best practices · Manage the accounting, treasury, management control and internal audit departments, ensuring that all financial processes work in a coordinated and efficient manner. · Coordination of internal and external audits, ensuring the transparency of financial statements and compliance with regulatory frameworks. · Supervision of tax compliance, ensuring that the company complies with its tax obligations efficiently and within the legal framework. · Continuous evaluation of opportunities for cost savings and process improvement, through the automation, digitization and optimization of financial workflows. · Coordinate the program of activities with the company's staff to obtain information to develop and manage the annual budget. · Review and analysis of current expenditures against the budget. Prepare the necessary reports to identify trends, risks, and opportunities. · Provides analytical findings and recommendations to senior management and the corporation. · Ensures compliance with the calculation and payment of PTU, and presentation of the Fiscal, Social Security, and INFONAVIT Opinions. · To order, through the Technical Committee of the Savings Fund, the annual settlement of the same. Ensure the correct distribution of capital and interest. · Ensure the financial well\-being of the company · Provide financial and accounting knowledge · Increase the value of the company · Establish economic strategies and policies · Analyze financial risks and opportunities · Advise the CEO on the strategies to follow · Strategize to maximize profits and avoid or reduce losses · Create indicators (KPIs, ratios) to analyze the company's evolution **Knowledge/Skills/Competencies:** · Bachelor’s degree in accounting, finance, or management, preferably supplemented by an MBA. · Minimum 10 years of experience in financial management, with previous experience in management or directing roles. · Proficiency in accounting and ERP software. · Proficiency using Microsoft Office (Excell, Power BI, data bases) · Solid knowledge of Excel and other data analysis tools. · High knowledge of accounting and tax regulations. · Strategic thinking and business vision. · Analytical and leadership skills. · Communication, negotiation and integrity skills. · Strong written, verbal, and good presentation, database management and computer skills. If you are interested please apply by this platform with your resume in english with photo, mentioning your salary expectation Job Type: Full\-time Pay: $60,264\.37 \- $85,294\.98 per month Work Location: In person


