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Senior Finance Manager, Brazil

Stryker Group

São Paulo

Híbrido

BRL 120.000 - 240.000

Tempo integral

Há 30+ dias

Melhora as tuas possibilidades de ir a entrevistas

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Resumo da oferta

An established industry player is seeking a Senior Finance Manager to oversee financial activities and ensure compliance with regulations. This pivotal role involves leading a team, managing financial performance, and driving strategic planning. The ideal candidate will have a strong background in financial administration within multinational companies and possess excellent leadership skills. Join a forward-thinking organization where your expertise will contribute to sustainable growth and operational excellence. If you are passionate about finance and ready to take on a challenging role, this opportunity is perfect for you.

Qualificações

  • Strong experience in financial administration, especially in multinational companies.
  • Proven background in Accounting, Treasury, and Financial Planning.

Responsabilidades

  • Oversee financial activities, ensuring compliance with US GAAP and local regulations.
  • Lead the budgeting process and provide strategic financial guidance.

Conhecimentos

Financial Administration
FP&A Management
Accounting
Treasury Management
Team Management
ERP Knowledge
Fluent in English

Formação académica

Bachelor’s degree in Accounting
Bachelor’s degree in Business Administration
Bachelor’s degree in Economics
MBA in Accounting or Finance

Ferramentas

ERP Systems
Business Intelligence Tools

Descrição da oferta de emprego

Work Flexibility: Hybrid

What You Will Do

The Senior Finance Manager will be responsible for overseeing all financial activities within the organization, including FP&A, accounting, accounts payable, and accounts receivable. This role ensures compliance with US GAAP, local regulations, and company standards while leading the development and execution of strategic financial plans. Reporting to the Finance Director for LatAm, the Finance Manager will supervise a team of managers across these functions, ensuring seamless collaboration and operational excellence. Additionally, they will provide strategic guidance to support the company’s financial goals and drive sustainable growth.

  • Supervise accounting records, financial statements, and reports to ensure accuracy, completeness, and compliance with US GAAP and company policies. Control company assets and utilize various tools to gather and format financial data.
  • Coordinate and ensure timely completion of the monthly financial close process, adhering to local and US GAAP standards. Prepare and analyze accounting data, including monthly management and accounting balance sheets.
  • Ensure compliance with local tax regulations, oversee tax payments and the preparation of tax returns. Control tax books and minimize tax contingencies through efficient tax planning and external consultation.
  • Manage and analyze the company’s financial performance, providing updates on trends, expenses, and revenue. Assist with forecasting and performance reporting to predict future business conditions and inform strategic decisions.
  • Lead the annual budgeting process, collaborating with cross-functional teams to gather information and create a comprehensive financial plan. Participate in strategic planning and business plan formulation to drive sustainable growth.
  • Support internal and external audits by providing documentation and explanations on internal controls and processes. Develop and improve key internal controls to ensure alignment with policies and procedures.
  • Oversee treasury operations, including credit analysis, cash flow management, and working capital optimization. Approve cash disbursements and ensure alignment with company policies.
  • Analyze and evaluate new investments, business models, and capital expenditures. Ensure that all activities comply with local and international regulations, including FCPA and Stryker’s Code of Conduct, upholding the highest ethical standards.
What You Will Need

Required Qualifications:

  • Bachelor’s degree in accounting, Business Administration, Economics, or related fields
  • Strong experience in financial administration, specifically in roles such as Financial Manager within multinational companies
  • Previous experience managing FP&A/Financial Planning and Analysis
  • Experience in managing and developing direct reports
  • Proven background in Accounting/Controlling, Treasury, Financial Planning, and Analysis
  • Experience working with a Finance Center of Excelence (COE) OR Centro de Serviços Compartilhados (CSC)
  • Fluent in English
  • ERP knowledge

Preferred Qualifications

  • Experience with IT implementations and customizations (business intelligence, ERP)
  • Experience
  • Previous experience in Big Four companies
  • MBA in Accounting or Finance
Travel Percentage: None
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