<p><strong>Supervisor – External Reporting | Hybrid | Detroit, MI</strong></p><p>Our client, a Fortune 300 process manufacturer with a national presence, is seeking a <strong>Supervisor – External Reporting</strong> to join their dynamic finance organization. With a commitment to innovation, employee development, and operational excellence, this organization is investing in its next generation of leaders. As part of a robust <strong>career rotational program</strong>, employees gain cross-functional exposure and long-term advancement opportunities. The company also offers an <strong>onsite fitness facility, top-tier benefits</strong>, and a <strong>hybrid work environment</strong> designed to support work-life integration.</p><p><strong>About the Role</strong></p><p> Reporting to senior finance leadership, this position supervises a high-performing team responsible for external financial reporting and regulatory compliance. The team leads preparation and submission of critical filings, including annual and quarterly reports to U.S. regulatory agencies. The role is key in ensuring financial transparency, accuracy, and timely delivery of data that impacts both internal strategy and public stakeholders.</p><p><strong>Key Responsibilities</strong></p><ul><li>Lead the preparation of 10-K, 10-Q, and 11-K filings in accordance with SEC guidelines</li><li>Oversee reporting to federal and state regulatory bodies</li><li>Supervise and develop a team of accounting professionals</li><li>Drive monthly close activities, account reconciliations, and financial disclosures</li><li>Ensure compliance with GAAP and evolving reporting standards</li><li>Identify and implement process improvements using Lean methodologies</li><li>Collaborate with cross-functional leaders to meet corporate reporting objectives</li><li>Prepare performance metrics and lead benchmarking initiatives</li><li>Create a positive and inclusive work culture that supports continuous learning, diversity, and professional development</li><li>Participate in the organization’s emergency response structure, as needed</li></ul><p>For immediate and confidential consideration apply today or call Jeff Sokolowski at (248)368-6131.</p>
<p>We are looking for an experienced Accounting Manager Consultant for a long-term engagement. This hybrid position is based in Ann Arbor, Michigan, and offers an exciting opportunity to oversee key financial operations and ensure compliance with established accounting standards. The successful candidate will report directly to the Controller and contribute to the efficient management of our accounting functions.</p><p><br></p><p>The day-to-day responsibilities include:</p><p><br></p><p>• Supervise and manage core accounting operations, including accounts payable, accounts receivable, and auditing processes.</p><p>• Ensure accurate and timely execution of billing functions while maintaining detailed financial records.</p><p>• Utilize enterprise resource planning (ERP) systems to streamline and integrate key business processes.</p><p>• Monitor customer accounts to ensure accuracy and address discrepancies effectively.</p><p>• Process customer credit applications with attention to detail and efficiency.</p><p>• Develop, implement, and enforce accounting policies and procedures to maintain compliance with financial standards.</p><p>• Respond to customer inquiries in a meticulous and timely manner.</p><p>• Conduct periodic audits to verify the accuracy and reliability of financial data.</p>
<p>We are looking for an experienced Accounting Manager to oversee and enhance financial operations within our organization. This role requires a meticulous individual who can manage multiple accounting processes, ensure compliance with industry standards, and drive process improvements. Based in Farmington Hills, Michigan, this position offers the opportunity to contribute to a dynamic and fast-paced environment.</p><p><br></p><p><strong>Responsibilities:</strong></p><p>• Manage and oversee the full accounting cycle, including accounts payable, accounts receivable, and invoicing functions.</p><p>• Utilize NetSuite software to streamline and automate accounting processes, ensuring efficiency and accuracy.</p><p>• Apply advanced knowledge of GAAP and US GAAP principles to maintain compliance and accuracy in financial reporting.</p><p>• Prepare and analyze direct and indirect cost accounting reports, including amortization schedules and percentage of completion accounting.</p><p>• Collaborate with stakeholders to manage job costing processes and ensure financial alignment with project goals.</p><p>• Handle construction-specific accounting practices, including AIA documents, lien waivers, and other related documentation.</p><p>• Develop and implement process improvements leveraging IT and accounting expertise.</p><p>• Use advanced Microsoft Excel skills, including pivot tables, to analyze and present financial data effectively.</p><p>• Ensure the confidentiality and security of sensitive financial information.</p><p>• Provide leadership and mentorship to accounting staff, fostering a culture of collaboration and continuous learning.</p>
<p>We are looking for a Technical Accounting Manager to join our team on a contract basis in Owosso, Michigan. In this role, you will play a critical part in analyzing, documenting, and enhancing operational and financial processes to drive efficiency and accuracy. This position requires a proactive and independent individual who can collaborate across departments and effectively communicate recommendations.</p><p><br></p><p>Responsibilities:</p><p>• Evaluate current operational and financial processes to identify inefficiencies and areas for improvement.</p><p>• Develop and document streamlined procedures and workflows, ensuring clarity and compliance with industry standards.</p><p>• Collaborate with engineers and other stakeholders to understand technical requirements and align processes accordingly.</p><p>• Create and implement job costing and revenue recognition processes where needed.</p><p>• Translate complex financial concepts into actionable processes, ensuring alignment with organizational goals.</p><p>• Conduct gap analyses to bridge discrepancies between current practices and desired outcomes.</p><p>• Present recommendations for process improvements and oversee their execution.</p><p>• Ensure all procedures are documented in a consistent and accessible format.</p><p>• Provide insights and support for system transitions, such as ERP implementations, as required.</p><p>• Work onsite initially to gather information and engage with teams, with flexibility for remote work thereafter.</p>
We are looking for an experienced Accounting Manager to lead financial operations and ensure compliance with accounting standards. This role involves overseeing key functions such as journal entries, reconciliations, and financial reporting to support business objectives. Based in Southfield, Michigan, this is an excellent opportunity for a meticulous individual to drive process improvements and contribute to organizational success.<br><br>Responsibilities:<br>• Prepare and post monthly journal entries for transactions including debt, credit cards, payroll, leases, and intercompany activities.<br>• Reconcile cash accounts to bank statements, ensuring accuracy and investigating any discrepancies.<br>• Oversee inventory and fixed asset management, including tracking, reporting, and calculating depreciation.<br>• Generate and analyze monthly key performance indicators (KPIs) to support informed financial decision-making.<br>• Assist with month-end and year-end closing processes, including reconciliations, accruals, and financial statement preparation.<br>• Ensure compliance with company policies and regulatory requirements, supporting audit and tax-related activities.<br>• Identify opportunities for process improvements and implement strategies to streamline accounting operations.
We are looking for an experienced Financial Planning & Analysis Manager to lead critical budgeting, forecasting, and financial decision-making processes for our organization. This role requires a strategic thinker with a strong background in manufacturing, construction materials, or industrial sectors, capable of driving performance improvements and supporting business growth. The ideal candidate will demonstrate expertise in financial modeling and analysis, coupled with advanced technical skills to manage complex data systems and reporting.<br><br>Responsibilities:<br>• Develop, implement, and oversee comprehensive budgeting processes to align financial goals with organizational strategies.<br>• Conduct detailed performance tracking and variance analysis to identify trends and recommend actionable improvements.<br>• Lead capital planning efforts, ensuring optimal allocation of resources to support business objectives.<br>• Provide decision support through scenario analysis and financial modeling, enabling leadership to make informed strategic choices.<br>• Collaborate with cross-functional teams in a matrixed environment to streamline financial processes and reporting.<br>• Utilize advanced tools such as Power BI, SAP, and Excel to create dynamic dashboards and enhance data visualization.<br>• Monitor and evaluate key financial metrics, delivering insights that drive operational efficiency and profitability.<br>• Manage and mentor a team of financial analysts, fostering growth and maintaining high-performance standards.<br>• Ensure compliance with industry regulations and internal policies related to financial reporting and planning.<br>• Drive continuous improvement initiatives to optimize financial systems and processes.
<p>We are looking for an experienced and motivated Tax Manager to join our clients team in Bloomfield Hills, Michigan. This leadership role offers an excellent opportunity to work closely with clients across diverse industries while mentoring and guiding team members. The ideal candidate will possess strong technical tax expertise, organizational skills, and a passion for delivering exceptional client service.</p><p><br></p><p>Responsibilities:</p><p>• Prepare and review federal and multi-state tax returns, including C-Corps, S-Corps, Partnerships, and Individual filings.</p><p>• Manage a diverse portfolio of clients across various industries, ensuring high-quality service and compliance with tax regulations.</p><p>• Conduct tax planning and research using cloud-based software to identify opportunities and risks.</p><p>• Provide leadership and mentorship to team members, fostering growth and collaboration.</p><p>• Communicate directly with clients to understand their needs and offer tailored tax solutions.</p><p>• Analyze complex tax issues and recommend strategies to minimize liabilities and maximize benefits.</p><p>• Ensure compliance with all applicable tax laws and regulations while maintaining a high standard of accuracy.</p><p>• Collaborate with internal teams to streamline processes and improve efficiency in tax engagements.</p><p>• Stay updated on changes in tax laws and industry trends to provide informed guidance and insights.</p><p>• Assist in developing and implementing firm-wide tax policies and best practices.</p>
<p>We are offering an exciting employment opportunity in ANN ARBOR, Michigan for a Controller for a family owned and operated Robert Half client. The chosen candidate will be deeply involved in the financial operations within our industry, focusing on job costing, Work In Progress, and Percentage of Completion accounting for multiple projects.</p><p><br></p><p><strong>Key Responsibilities</strong>:</p><ul><li>Oversee and manage job costing, Work In Progress (WIP), and Percentage of Completion (POC) accounting for multiple projects.</li><li>Assist with the preparation and review of monthly, quarterly, and annual financial statements, ensuring accuracy and compliance.</li><li>Perform month-end and year-end closing processes, including journal entries, reconciliations, and financial statement preparation.</li><li>Reconcile bank statements, accounts payable/receivable, and intercompany transactions.</li><li>Analyze financial performance and provide recommendations for improvement to management.</li><li>Coordinate with the construction team to ensure accurate allocation of costs to job sites and work in progress.</li><li>Ensure timely filing of tax documents and compliance with relevant accounting standards and regulations.</li><li>Support the Controller and management team in ad-hoc projects and special initiatives as needed.</li><li>Utilize accounting software and technology tools to streamline accounting processes and improve reporting accuracy.</li></ul><p><br></p>
Seeing a "PART TIME" Payroll Clerk 10-25/hrs a week in the Temperance MI area. This role has potential to long term or anyone who is seeking part time work only. Mondays are must but can be flexible the rest of the week. Pay $22/hr. <br><br>ESSENTIAL DUTIES AND RESPONSIBILITIES <br>The essential functions include, but are not limited to the following: <br>• Compile payroll data such as, garnishments, vacation time, insurance, and 401(k) <br>• Poll electronic time clocks (Job Boss) and review the downloaded information for completeness and accuracy <br>• Contact various department supervisors for any missed times <br>• Compile internal management reports from payroll system software (ADP) <br>• Participating in activities needed to support the management functions of the team <br>• Upholding professionalism by providing courteous customer service to visitors, clients, and vendors <br>• Performing other duties as assigned <br>• Ensure all safety rules & regulations <br>• Compliance of quality system requirements <br>• Support continuous improvement initiatives <br>• Participate in onboarding and orientation of new employees <br>• Succession planning <br>• Complete exit interviews <br> <br>DESIRED QUALIFICATIONS (KNOWLEDGE, SKILLS, AND ABILITIES) <br>• High school diploma or G.E.D. equivalent required <br>• Two or more years of office, payroll, or bookkeeping experience <br>• Proficient in Microsoft Office specifically Word, Excel, PowerPoint, and Outlook. <br>• Excellent computer skills using 10-Key by touch and ability to type 40 WPM <br>• Must possess proficient ability to communicate in English in oral and written format <br>• Ability to apply discretion and trust with confidential material <br>• Ability to maintain a high level of accuracy in preparing and entering payroll data <br>• Ability to effectively apply analytical and problem-solving skills <br>• Ability to adapt and work efficiently in a rapidly changing dynamic environment <br>• Excellent time management skills with the ability to multi-task, prioritize, and meet deadlines
<p>We are looking for an experienced Controller (Corporate and Plant) to oversee and manage financial operations at our clients manufacturing company in Auburn Hills, Michigan. This role requires a meticulous individual with a strong background in financial reporting, budgeting, and cash flow forecasting who is able to oversee and do the accounting and finance for five locations. The ideal candidate will play a critical role in ensuring the accuracy and efficiency of our accounting processes while contributing to the overall financial health of the company.</p><p><br></p><p>Responsibilities:</p><p>• Perform monthly general ledger closings, ensuring financial data is accurately calculated, posted, and reviewed.</p><p>• Analyze financial information related to assets, liabilities, and capital to prepare balance sheets, profit and loss statements, and other reports that summarize the company’s financial position.</p><p>• Develop, implement, and oversee control procedures to maintain compliance and operational efficiency.</p><p>• Audit contracts, orders, and vouchers while assisting in the preparation of governmental surveys.</p><p>• Prepare for annual financial statement audits, ensuring all necessary documentation is in place.</p><p>• Assign tasks to team members and review their work for accuracy, adherence to policies, and overall quality.</p><p>• Evaluate and standardize accounting procedures to improve efficiency and streamline operations.</p><p>• Collaborate with internal project managers to gather data for monthly revenue recognition and accrual reporting.</p><p>• Conduct operational surveys to assess organizational needs and recommend system improvements.</p><p>• Compile and analyze financial data for use in cash flow forecasting and decision-making.</p>
We are looking for an experienced Controller to join our team on a part-time, contract basis for a duration of 3 to 6 months. Based in Auburn Hills, Michigan, this role is ideal for a finance expert with strong expertise in accounting operations, financial reporting, and budgeting. As part of the manufacturing industry, this position requires a hands-on approach to managing financial processes and presenting key insights to stakeholders.<br><br>Responsibilities:<br>• Prepare and analyze financial statements, ensuring accuracy and compliance with intercompany reporting requirements.<br>• Present detailed monthly financial reports to the headquarters, offering clear insights into company performance.<br>• Manage budgeting processes, including forecasting and tracking financial outcomes.<br>• Oversee month-end closing activities, including account reconciliations, bank reconciliations, and general ledger maintenance.<br>• Handle accounts payable, accounts receivable, and inventory management with a focus on operational efficiency.<br>• Provide expertise in foreign exchange transactions and their impact on financial planning.<br>• Collaborate with stakeholders to ensure alignment in financial strategies and reporting.<br>• Utilize Microsoft NAV to manage and streamline accounting operations.<br>• Support audit processes by preparing necessary documentation and reports.<br>• Ensure adherence to company policies and financial regulations while maintaining accuracy in all financial activities.
We are looking for a highly skilled Financial Planning & Analysis Manager to join our team in Livonia, Michigan. In this role, you will lead efforts to optimize financial strategies, oversee budgeting processes, and provide key insights to drive business decisions. The ideal candidate will bring a strong background in financial planning and data analytics, coupled with exceptional leadership skills.<br><br>Responsibilities:<br>• Lead the development and execution of annual budgets, ensuring alignment with organizational goals.<br>• Manage financial planning and analysis processes, including cash forecasting and capital management.<br>• Provide strategic recommendations to business units using data-driven insights from financial models.<br>• Oversee accounting functions to ensure compliance with financial regulations and accuracy in reporting.<br>• Utilize advanced accounting software systems and tools, such as Adaptive Insights and CRM platforms, to streamline operations.<br>• Monitor key performance indicators (KPIs) and analyze trends to support decision-making.<br>• Collaborate with cross-functional teams to identify opportunities for cost optimization and revenue growth.<br>• Prepare detailed financial reports and presentations for stakeholders, highlighting key findings and recommendations.<br>• Drive improvements in budget processes and ensure adherence to financial best practices.<br>• Support the implementation of enterprise performance management (EPM) tools to enhance workflow efficiency.
<p><strong>Chief Financial Officer (CFO)</strong></p><p>Our client, a privately held leader in the <strong>process manufacturing</strong> space, achieved record performance in 2024 and is on pace for continued growth and operational expansion in 2025. With a strong commitment to quality, innovation, and collaboration, the company offers a dynamic environment for an experienced finance executive seeking to make a lasting impact.</p><p>The CFO will serve as a key member of the executive team and a strategic advisor to the CEO. This role is responsible for the overall financial management of the organization, including accounting operations, planning, budgeting, forecasting, cash management, and compliance. The ideal candidate will bring strong technical accounting knowledge, proven leadership experience, and the ability to guide financial strategy in a complex manufacturing environment.</p><p><strong>Key Responsibilities:</strong></p><ul><li>Lead the development and execution of financial strategies to support company growth and long-term planning.</li><li>Direct and manage all aspects of accounting operations including general ledger, payroll, accounts payable/receivable, and monthly close processes.</li><li>Produce accurate and timely financial statements and internal reports for leadership and board members.</li><li>Oversee forecasting, budgeting, and long-range planning to support operational and capital investment decisions.</li><li>Provide strategic insights through financial modeling and data analysis to drive profitability and improve margins.</li><li>Ensure compliance with GAAP, internal controls, and relevant regulatory requirements.</li><li>Partner cross-functionally with operations, production, and supply chain to align financial initiatives with business goals.</li><li>Manage relationships with external auditors, banks, insurance providers, and tax advisors.</li><li>Recommend and implement improvements to financial systems, processes, and internal controls.</li><li>Mentor and develop a high-performing finance and accounting team focused on accountability and continuous improvement.</li><li>Lead or support financial system implementations and upgrades.</li></ul><p>For immediate and confidential consideration please apply today or call Jeff Sokolowski directly at (248)365-6131.</p>
<p>Bill Watts at Robert Half is partnering with a leading manufacturer in the food production and agricultural sector. With a commitment to operational excellence, product quality, and continuous improvement, we are seeking an experienced and analytical <strong>Plant Controller</strong> to manage all financial activities at our Troy facility and support strategic plant-level decision-making.</p><p><br></p><p><strong>Position Summary</strong></p><p>The Plant Controller is responsible for overseeing the financial operations of the manufacturing plant, ensuring accurate cost accounting, financial reporting, budgeting, and analysis. This role will act as a strategic business partner to plant leadership, providing insights to improve efficiency, reduce cost, and support profitability.</p><p><br></p><p><strong>Key Responsibilities</strong></p><p>Financial Oversight</p><ul><li>Manage all plant-level accounting operations including inventory, standard costing, and cost of goods sold (COGS) analysis</li><li>Prepare and analyze monthly financial statements, variance reports, and key performance indicators (KPIs)</li><li>Lead month-end close processes and ensure compliance with internal controls and corporate policies</li></ul><p>Cost Accounting</p><ul><li>Maintain and improve standard costing models and processes</li><li>Analyze manufacturing variances (labor, overhead, material usage, scrap) and communicate findings to plant management</li><li>Partner with operations to monitor and control production costs, yields, and efficiencies</li></ul><p>Budgeting & Forecasting</p><ul><li>Lead the plant’s annual budgeting process, quarterly forecasts, and long-range planning</li><li>Track capital expenditures and support ROI analysis for new equipment or process improvements</li><li>Provide financial modeling and analysis for strategic initiatives</li></ul><p>Compliance & Controls</p><ul><li>Ensure compliance with GAAP and company financial policies</li><li>Support internal and external audits by preparing documentation and responding to inquiries</li><li>Implement and maintain strong internal controls over financial reporting, inventory, and assets</li></ul><p>Leadership & Collaboration</p><ul><li>Act as a key member of the plant leadership team</li><li>Supervise plant accounting staff (if applicable) and foster a culture of accountability and continuous improvement</li><li>Serve as the liaison between the plant and corporate finance team</li></ul>
We are looking for an experienced Controller to manage and oversee the accounting operations for our organization in Detroit, Michigan. This role involves ensuring the accuracy of financial records, maintaining compliance with regulations, and enhancing internal controls. The ideal candidate will collaborate with leadership to drive process improvements and support strategic financial initiatives.<br><br>Responsibilities:<br>• Supervise all accounting operations, including general ledger management, accounts receivable, accounts payable, payroll entries, and cost accounting.<br>• Lead month-end, quarter-end, and year-end closing processes to deliver timely and accurate financial statements compliant with US GAAP.<br>• Prepare and evaluate internal and external financial reports to guide decision-making and monitor business performance.<br>• Oversee cash flow planning, forecasting, and analysis to ensure operational needs are met.<br>• Develop and enhance internal controls, accounting policies, and procedures to uphold financial integrity.<br>• Collaborate with department leaders to support annual budgeting processes and periodic financial forecasts.<br>• Coordinate annual audits and tax filings while ensuring compliance with federal, state, and local regulations.<br>• Identify and implement opportunities to improve accounting processes and reporting systems.<br>• Act as the primary accounting resource for all organizational locations.<br>• Foster a collaborative environment by effectively communicating across all levels of the organization.
We are looking for an experienced Chief Financial Officer (CFO) to lead the financial strategy and operations of our organization in Canton, Michigan. This role involves leadership in corporate accounting, financial reporting, budgeting, forecasting, and the establishment of effective internal control frameworks. The ideal candidate will also oversee risk management, financial planning, and compliance to ensure the organization's fiscal health and growth.<br><br>Responsibilities:<br>• Oversee all financial and accounting functions across multiple branches and entities.<br>• Lead the preparation of budgets, financial forecasts, and variance analyses.<br>• Ensure the timely preparation and publication of monthly financial statements.<br>• Manage the annual audit process and prepare required documentation.<br>• Analyze financial performance, identify risks, and drive strategic planning.<br>• Supervise accounting operations, including billing, accounts receivable, and accounts payable.<br>• Direct the preparation of regulatory reports and ensure compliance with technical accounting standards.<br>• Support the month-end and year-end close processes with precision and accuracy.<br>• Design and implement internal control policies to maintain strong financial governance.<br>• Oversee compliance with local, state, and federal reporting requirements and tax filings.
We are looking for an experienced and dedicated Controller to lead our financial operations and ensure the integrity of our accounting processes. In this pivotal role, you will oversee financial reporting, budgeting, compliance, and strategic planning, while driving efficiency and accuracy across all financial activities. This is an excellent opportunity to contribute to the growth and success of the organization through strong leadership and expertise.<br><br>Responsibilities:<br>• Prepare and analyze monthly, quarterly, and annual financial statements to ensure timely and accurate reporting.<br>• Lead comprehensive budgeting and forecasting processes to support the organization’s strategic goals.<br>• Oversee daily accounting operations, including accounts payable/receivable, general ledger management, payroll, and fixed assets.<br>• Develop and maintain robust internal controls to ensure compliance with financial regulations and protect company assets.<br>• Coordinate and manage annual audits with external auditors, ensuring compliance with all reporting requirements.<br>• Supervise and mentor accounting staff, fostering a culture of accountability and growth.<br>• Monitor and manage cash flow, optimize liquidity, and maintain strong relationships with banking partners.<br>• Evaluate and improve accounting systems, processes, and policies to enhance operational efficiency.<br>• Apply expertise in hotel, retail, and office accounting to align financial practices with industry-specific needs.
We are looking for an experienced Controller to join our team in Detroit, Michigan. This role is essential to overseeing the financial operations of our organization, ensuring compliance with accounting standards, and contributing to long-term strategic planning. The ideal candidate will have a strong background in finance and accounting, with the ability to lead a team and manage various financial processes effectively.<br><br>Responsibilities:<br>• Oversee daily accounting operations, including accounts payable, payroll, and grant administration.<br>• Ensure accurate recording of all financial transactions in compliance with Generally Accepted Accounting Principles (GAAP).<br>• Lead the coordination and completion of annual financial and compliance audits with an independent accounting firm.<br>• Collaborate with the Director of Finance and Revenue Cycle on budget preparation and strategic financial planning.<br>• Analyze financial data using advanced Excel functions such as pivot tables and VLOOKUP.<br>• Supervise and mentor finance team members to ensure operational efficiency and foster growth.<br>• Maintain and improve internal controls to safeguard organizational assets and enhance financial reporting accuracy.<br>• Provide insights and recommendations to support decision-making and organizational objectives.<br>• Manage financial reporting processes to ensure timely and accurate delivery.<br>• Work closely with leadership to align financial strategies with organizational goals.
<p>WWe are seeking an experienced <strong>Treasurer</strong> to join our team in <strong>Detroit, Michigan</strong>. This is a critical leadership position responsible for managing the company’s <strong>global financial operations</strong>, including cash management, debt portfolio oversight, and risk mitigation. The ideal candidate is a strategic thinker with deep treasury expertise, strong leadership capabilities, and a proven track record of optimizing financial performance in a global environment.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Oversee <strong>global cash management</strong> to ensure liquidity optimization, accurate forecasting, and effective intercompany funding.</li><li>Design and execute strategies to <strong>mitigate foreign exchange and interest rate risks</strong>.</li><li>Manage relationships with international banking partners; negotiate credit facilities and ensure compliance with financial covenants.</li><li>Lead the management of the corporate <strong>debt portfolio</strong>, maintaining an efficient capital structure and securing cost-effective financing solutions.</li><li>Ensure compliance with all <strong>regulatory standards</strong>, including Dodd-Frank, and oversee derivative trading documentation.</li><li>Administer the <strong>global insurance program</strong>, identifying potential risks, managing policy placements, and overseeing claims.</li><li>Develop and enforce <strong>treasury policies and internal controls</strong> in alignment with corporate governance standards.</li><li>Provide strategic financial support for <strong>M& A transactions</strong>, including funding strategies and integration planning.</li><li>Collaborate closely with cross-functional teams including <strong>FP& A, Tax, Legal, and Accounting</strong> to support enterprise-wide financial initiatives.</li><li>Lead, mentor, and develop a <strong>high-performing treasury team</strong>, promoting a culture of continuous improvement and operational excellence.</li></ul><p><strong>Qualifications:</strong></p><ul><li>Bachelor’s degree in Finance, Accounting, or related field; MBA or CPA/CFA preferred.</li><li>10+ years of treasury or corporate finance experience, with at least 5 years in a leadership role.</li><li>Strong knowledge of global banking systems, capital markets, and financial instruments.</li><li>Demonstrated experience managing complex global cash and debt portfolios.</li><li>Excellent leadership, communication, and negotiation skills.</li><li>Proficiency in treasury management systems and ERP platforms.</li></ul><p>e<strong>Why Join Us?</strong></p>