Job Details

ID #5077585
Estado Michigan
Ciudad Ann arbor
Full-time
Salario USD TBD TBD
Fuente Amcor Rigid Plastics USA, LLC
Showed 2020-10-19
Fecha 2020-10-19
Fecha tope 2020-12-17
Categoría Etcétera
Crear un currículum vítae

Senior Manager, Inventory and Cost Accounting

Michigan, Ann arbor 00000 Ann arbor USA

Vacancy caducado!

Amcor Rigid PackagingSenior Manager, Inventory and Cost AccountingAnn Arbor, MIPosition Overview:This role is part of the Amcor Rigid Packaging Accounting Shared Services leadership team and reports to the VP of Finance and Controller. The role is responsible for managing all aspects of inventory accounting, including managing complex raw material (resin) pass through arrangements with customers, resin accounting including Material Price Variance (MPV)/ FIFO, resin inventory and payables valuation, overhead costing, inventory policy and internal controls as well as supporting the business by analyzing inventory costs and trends, working with procurement and business groups on forecasts and analytics, and preparing working capital/cash flow forecasts. The role requires the successful candidate to manage multiple conflicting demands and to work effectively with a variety of stake holders.Essential Responsibilities and Duties:General Responsibilitiesand#8226;Lead ARP NA shared service inventory function supporting two separate North America Business Units (Beverage Division and Specialty Containers) and more than 25 plantsand#8226;Act as a change agent within ARP finance community identifying and driving best practices, promoting the implementation of new requirements and driving process improvementsand#8226;Provide sound financial and economic advice to key stakeholders on inventory related mattersAccount Supportand#8226;Manage resin accounting by providing guidance and leadership in the areas of MPV/FIFO calculation, resin inventory and payables valuationand#8226;Manage process for maintaining, reviewing and analyzing overhead costs in ending inventoryand#8226;Lead inventory and resin accounts payable forecasting process, including impacts of resin purchases and sales on working capital and cash flowand#8226;Work with Commercial Finance teams on new (or revised) resin pricing; ensure prices are implemented correctly and timely in accordance with contracted resin market price movementsand#8226;Collaborate with Procurement and Business Finance providing timely and detailed analysis related to impact of resin prices on company profitability and quantifying resin related savings.and#8226;Support and account for raw material derivatives; coordinate with Commercial Finance teams and local procurement team (along with corporate procurement team in Zurich, Switzerland)and#8226;Manage, review and update cost standards for resin and other materials on annual basisand#8226;Research resin market trends and communicate key pricing changes or market movements to ARP Finance and Commercial leadership teamsand#8226;Oversee resin MPV monthly forecasting and yearly budgeting process; provide detailed analysis/bridges and commentary covering year-over-year and operating plan variancesand#8226;Partner with procurement teams on sourcing initiatives and ensure data integrity of profitability and financial modelingand#8226;Manage special projects and drive process improvement initiatives, as neededand#8226;Other tasks, ad-hoc financial analysis and special projects as they ariseand#8226;Lead MA integration activities as needed, including system implementations, for the above areas and work with a cross-functional teamCompliance Process / Coordination:and#8226;Establish, monitor, and enforce internal controls and ensure compliance with policies and proceduresand#8226;Ensure transactions correctly reflect the legal / tax structure of our various domestic and international subsidiariesand#8226;Support internal and external audits and activities related to Amcor's quarterly reporting periods and statutory close requirementsand#8226;Review and approve journal entries and account reconciliations, ensure month end reporting activities are performed timely and accuratelyand#8226;Work with Group Treasury in identifying and managing FX risk in the respective areas.Team Leadership Talent Development:and#8226;Lead, manage and develop a team of three ac

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