Foxconn Industrial Internet
Financial Director or Manager
Foxconn Industrial Internet, Houston, Texas, United States, 77001
Financial Director Or Manager
Full-Time Financial Executive with extensive experience in strategic financial planning, capital management, and international operations. Proven track record of leading cross-border financial activities, including fund management, investment planning, risk mitigation, and regulatory compliance. Adept at aligning financial strategies with business goals, improving cash flow, and enhancing operational efficiency. Skilled in working across multicultural environments, with strong leadership in both U.S. and Latin American markets. Fluent in English, with a deep understanding of ERP systems and financial reporting standards. Job Responsibilities
Oversee and manage corporate funds for operations in the United States and Mexico, ensuring efficient allocation and utilization of resources. Lead credit management activities and develop medium- to long-term funding plans to support the financial stability and growth of entities in both countries. Design and execute capital planning, investment strategies, and profit distribution initiatives aligned with corporate objectives across the U.S. and Mexico. Manage corporate bank accounts, establish and maintain online banking platforms, and coordinate effectively with internal and external auditors. Monitor foreign exchange positions and implement appropriate hedging strategies to mitigate currency risk. Conduct detailed cash flow analysis, forecast income and expenditures, and evaluate the financial and operational status of entities in the U.S. and Mexico. Stay informed of local economic, financial, and trade regulations in the U.S. and Mexico, and develop strategic responses to regulatory changes. Perform additional responsibilities as assigned by senior management. Qualifications
Education: A bachelor's degree or higher in Finance, Accounting, or a related field is required.
Experience: Minimum of 10 years of experience in finance-related roles, including fund management, financial planning, or treasury operations.
A background in international banking or the electronics industry is strongly preferred.
Proven experience managing multi-country financial operations is a plus.
Skills & Capabilities: Strong knowledge of ERP systems and financial software platforms.
Excellent analytical and strategic planning skills.
Effective communication and coordination skills, with the ability to interact across cultures and business units.
Bilingual (proficiency in Mandarin. Spanish is a plus)
Other Requirements: Willingness to travel frequently between the United States and Mexico for business needs.
Strong understanding of cross-border finance, foreign exchange, and regulatory environments.
Full-Time Financial Executive with extensive experience in strategic financial planning, capital management, and international operations. Proven track record of leading cross-border financial activities, including fund management, investment planning, risk mitigation, and regulatory compliance. Adept at aligning financial strategies with business goals, improving cash flow, and enhancing operational efficiency. Skilled in working across multicultural environments, with strong leadership in both U.S. and Latin American markets. Fluent in English, with a deep understanding of ERP systems and financial reporting standards. Job Responsibilities
Oversee and manage corporate funds for operations in the United States and Mexico, ensuring efficient allocation and utilization of resources. Lead credit management activities and develop medium- to long-term funding plans to support the financial stability and growth of entities in both countries. Design and execute capital planning, investment strategies, and profit distribution initiatives aligned with corporate objectives across the U.S. and Mexico. Manage corporate bank accounts, establish and maintain online banking platforms, and coordinate effectively with internal and external auditors. Monitor foreign exchange positions and implement appropriate hedging strategies to mitigate currency risk. Conduct detailed cash flow analysis, forecast income and expenditures, and evaluate the financial and operational status of entities in the U.S. and Mexico. Stay informed of local economic, financial, and trade regulations in the U.S. and Mexico, and develop strategic responses to regulatory changes. Perform additional responsibilities as assigned by senior management. Qualifications
Education: A bachelor's degree or higher in Finance, Accounting, or a related field is required.
Experience: Minimum of 10 years of experience in finance-related roles, including fund management, financial planning, or treasury operations.
A background in international banking or the electronics industry is strongly preferred.
Proven experience managing multi-country financial operations is a plus.
Skills & Capabilities: Strong knowledge of ERP systems and financial software platforms.
Excellent analytical and strategic planning skills.
Effective communication and coordination skills, with the ability to interact across cultures and business units.
Bilingual (proficiency in Mandarin. Spanish is a plus)
Other Requirements: Willingness to travel frequently between the United States and Mexico for business needs.
Strong understanding of cross-border finance, foreign exchange, and regulatory environments.