Corporate Manager of FP&A and Treasury
Company Overview:
For over 90 years, Tecumseh Products Company has been a leading global manufacturer of compressors and related products operating in North America, South America, Europe, and Asia. It is our long history and strong brand image that continue to build our future. To help us as we advance in the next chapter of our history, we need people who are passionate and enthusiastic, willing to work in a multi-cultural environment and energized by bringing new and innovative products and services to the industry.
Values & Behaviors:
At Tecumseh all employees are expected to demonstrate behaviors that reflect our core values:
- Integrity – doing what is right, not what is convenient,
- Excellence – demonstrating our passion for success with an entrepreneurial spirit,
- Passion – striving to constantly exceed expectations,
- Teamwork – actively collaborating and engaging with our colleagues across the globe, and
- Respect – showing regard for people’s feelings, ideas, and concerns.
Position Overview:
The Corporate Manager of FP&A and Treasury is responsible for providing support for all aspects of financial planning and analysis, supporting the Corporate Controller leading the review and analysis of global financial results and plans, developing world class analytics and with a specific focus on global liquidity management and forecasting.
Job Responsibilities:
- Prepare reports and analyses of monthly financial results.
- Administer and lead the global financial planning and forecast processes.
- Manage consolidation of global liquidity forecasting, generating reporting and analytics for management review.
- Manage global daily liquidity consolidation, reporting and analysis.
- Review and drive improvements in global cash management, ensuring financial obligations are met in accordance with company policies and procedures.
- Monitor and manage global intercompany settlements amongst entities to optimize liquidity.
- Maintain global bank account and debt schedules.
- Oversee North America cash desk operations, including but not limited to, bank account management, inquiries and maintenance, bank portal and user administration, balance reporting, occasional manual wire processing, short-term excess cash investment and borrowing.
- Assist in other areas of FP&A and treasury functions, including global FX and commodities hedging program, credit management, and other special projects.
- Work with regions to standardize financial analysis, improving our ability to compare results across regions.
- Analyze trends, quantify and provide early warning guidance on potential risks and opportunities to global operating performance.
- Assist in the review and analysis of working capital to ensure appropriate regional cash conversion cycles.
- Review and analyze capital spending requests to ensure appropriate financial justification for project. Monitor and report progress of capital spending to original plan.
- Perform other duties as assigned.
Required Education and Experience:
- Bachelor’s degree in accounting, finance, or related business administration field.
- 5+ years of operational finance experience, preferably in a manufacturing environment, with global consolidations and business unit analysis experience a must.
Required Skills/Abilities:
- Thorough understanding of income statement, balance sheet, and cash flow statements (direct & indirect).
- Strong financial analysis and related IT systems; advanced proficiency in Excel is required.
- Oracle and BPC knowledge is a plus.
- Excellent critical thinking, problem solving skills, and superior attention to detail. Promote process efficiency/effectiveness on a consistent basis in a highly team-oriented environment.
- Ability to handle and prioritize multiple tasks/deadlines within a fast-paced environment.
- Ability to deploy/implement and manage new standardized reporting and analysis requirements and procedures across multiple reporting business units.
- Strong communicator both orally and in writing.
- Exceptional work ethic and integrity.
Additional Information
Travel: 0 – 25%
Physical Demands: Lifting a minimum of 25lbs, occasionally. Position is a desk position. Long periods of computer and/or phone are required.
Tecumseh Products Company is an equal opportunity employer. Qualified applicants will be considered without regard to age, race, creed, color, national origin, ancestry, marital status, affectional or sexual orientation, gender identity or expression, disability, nationality, religion, sex, citizen status or veteran status.
- Department
- Finance & Accounting
- Role
- Corporate Manager of FP&A and Treasury
- Locations
- USA - Ann Arbor
- Remote status
- Hybrid
Our Employees
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Tecumseh offers plenty of growth opportunities, both in career and personal development. I have been fortunate to learn from the best in the business, who has pushed me to be a better version of myself each day. One of Tecumseh’s core values is integrity; doing what is right, not what is convenient. This value has become a staple in my approach to all things in life, and it has carried me to where I am today.
Jason Chong
Marketing Manager
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My time at Tecumseh has been nothing short from awesome. The people here feel like a family to me. Great group of professionals.
Rex Martin
Sr. Tech Services Specialist
USA - Ann Arbor
Corporate Manager of FP&A and Treasury
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