Are you a finance professional who thrives in a fast-paced manufacturing environment and enjoys turning financial data into business insights?
A leading manufacturing organization is seeking a highly motivated Mexico Accounts Payable Accountant with proven experience managing Accounts Payable processes in Mexico. This role is critical to ensuring compliance with Mexican regulatory requirements, maintaining strong vendor relationships, optimizing cash flow, and delivering accurate financial reporting that supports effective business and strategic decision-making.
Core areas:
- Responsible from México Accounts Payable
- Manage cash flow activities and accounts payable, ensuring timely and accurate payments to suppliers.
- Maintain accurate accounting records by recording, classifying, and monitoring financial transactions.
- Support monthly financial closings and the preparation of financial reports.
- Ensure compliance with all applicable tax, statutory, and regulatory requirements, including government filings and reporting obligations.
- Administer fixed assets, depreciation schedules, and insurance policies.
- Coordinate and provide documentation required for internal, external, and government audits.
- Maintain strong accounting and financial controls to safeguard the integrity of financial information.
- Monitor compliance with company policies, procedures, and applicable management systems.
- Collaborate with cross-functional teams to support financial and operational objectives.
Qualifications and Experience
- Bachelor's Degree in Accounting.
- Minimum of 3 years of experience in general accounting, finance, or a related role.
- Proficiency in CONTPAQi.
- Advanced Microsoft Excel skills.
- Intermediate to advanced English proficiency (70%+).
- Accounts payable expertise is required
Technical Knowledge
- Mexican Financial Reporting Standards (NIF).
- Mexican tax regulations, including VAT (IVA), Income Tax (ISR), IMSS, Infonavit, and state taxes.
- Internal controls and audit processes.
- Treasury functions and cash flow management.
- Strong analytical and problem-solving skills.
- Effective communication.
- High attention to detail and accuracy.
- Results-oriented mindset.
- Teamwork and collaboration.
- Organizational and administrative skills.
- Sound decision-making abilities.
- Commitment to compliance and corporate governance.