
Senior Finance Manager
Stryker
full-time
Posted on:
Location Type: Hybrid
Location: Buenos Aires • Argentina
Visit company websiteExplore more
Job Level
About the role
- Oversee all financial activities within the organization in Argentina, including FP&A, accounting, accounts payable, and accounts receivable.
- Ensure compliance with US GAAP, local regulations, and company standards while leading the development and execution of strategic financial plans.
- Supervise a team of analysts and specialists across these functions, ensuring seamless collaboration and operational excellence.
- 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.
Requirements
- 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 processes.
- Experience in managing and developing direct reports.
- Proven background in Accounting/Controlling, Treasury, Financial Planning, and Analysis.
- Experience working with a Finance Center of Excellence (COE) OR Centro de Servicios Compartidos (CSC).
- Fluent in English.
Benefits
- Flexible work arrangements
Applicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills & Tools
financial planning and analysisaccountingaccounts payableaccounts receivabletax planningbudgetingfinancial reportingcash flow managementfinancial performance analysisinternal controls
Soft Skills
leadershipcollaborationstrategic guidanceoperational excellencecommunicationteam managementanalytical thinkingproblem-solvingattention to detailethical standards
Certifications
CPACMACFAMBAACCACIACIMAfinancial certificationstax certificationsinternal audit certifications