About This Opportunity
Job Responsibilities Oversee daily financial reporting and general ledger bookings Manage cash flow and banking relationships Enforce strict adherence to internal control approval procedures and ERP (SAP) processes Lead the annual budgeting process in coordination with HQ finance; conduct monthly KPI reviews and drive corrective actions for budget vs. actual variances together with cross-functional departments Monitor local tax compliance, product costing, accounts receivable (AR), and accounts payable (AP) Provide strategic financial controlling and management insights to support business growth and operational decisions at the Mexico plant.