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Established since 1987, our client is a leading technology provider for trenchless pipe rehabilitation and has been producing CIPP lining materials for more than 30 years.
The Roles
This is a full-time, onsite role based in Erie, Pennsylvania, US. We offer a dynamic and supportive work environment with significant opportunities for professional growth and advancement.
Compensation & Benefits: 401(k) Plan, Health Insurance
Duties
Financial Planning & Analysis (FP&A):
Develop and manage the company’s annual budget, monitor execution, analyze variances, and propose corrective actions.
Perform financial analysis to support strategic initiatives including investments, M&A, and operational improvements.
Prepare timely and insightful financial reports for senior management to facilitate informed decision-making.
Financial Reporting & Compliance:
Ensure accurate and timely preparation of financial statements in accordance with U.S. GAAP.
Coordinate internal and external audits to maintain compliance with regulatory requirements.
Oversee tax-related activities to ensure compliant and timely filings.
Cost Accounting & Management:
Lead cost accounting activities, including standard costing,variance analysis,and inventory valuation.
Implement and enhance cost-control measures to improve operational efficiency and profitability.
Risk Management & Internal Controls:
Identify financial risks and develop effective mitigation strategies.
Establish and maintain robust internal controls to safeguard financial data and ensure process integrity.
Team Leadership:
Manage and develop the finance team, including hiring, training, performance management, and career growth.
Streamline financial processes to improve team productivity and output quality.
Cross-Functional Collaboration:
Partner closely with sales, procurement, production, and other departments to support operational and strategic goals.
Provide financial insight and decision support for key company projects.
Qualifications
Education:
Bachelor’s degree in Accounting, Finance, or a related field.
CPA certification preferred.
Experience:
Minimum 5 years of financial management experience, preferably within manufacturing.
Proven track record in financial reporting, cost accounting, budgeting, tax, and audit.
Experience managing full-cycle financial operations in a factory or manufacturing setting is highly desirable.
Skills:
Advanced proficiency in Microsoft Excel; experience with ERP systems (e.g., SAP, QuickBooks) preferred.
Strong financial modeling, data analysis, and cost-management capabilities.
Excellent leadership, communication, and interpersonal skills.
Ability to collaborate effectively across functions and time zones.
If intereste, please send your resume to:
resume@hellocareer.cn
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