Job Description
Guadalajara
Nivel de Estudios
Bachelor Degree in accounting, finance or relevant field.
Advanced English language knowledge
Experiencia Requerida
3 years
Habilidades
Soft Skills
Good communication skills
Problem solving skills
Work ethic
Teamwork
Accountability.
Proven experience as junior accountant.
Great attention to details
Good with numbers and figures and analytical acumen.
Customer Service orientation. Resilience and adaptability.
Customer Service orientation. Resilience and adaptability.
Technical Skills
Accounting.
Finance.
Cash flow balance.
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Basic understanding of accounting processes.
Excellent knowledge of MS Office and familiarity with relevant computer software (SAP).
Advanced excel ability.
Numerical skill.
Resumen
Responsible for executing the financial information transactions of Casa Noble Mexico operations through the analysis, accounting and registration of preliminary documents and manual records applying accounting principles (IFRS and USGAAP), executing the month-end processes including the evaluation of financial results related to operation business. This is a great opportunity for an Accounting or Finance degree, with a solid understanding of financial processes, who is looking to develop their knowledge and skillis within CBI while supporting various Global Functions. Applies foundation of a function's principles, theories and concepts to assignments of limited scope. Uses professional experience and theoretical finance acumen. The goal it's to contribute to efficient work in department organization and help company to achieve main goals through the activities that fall under finance responsibility. Some of the core responsibilities for this role include operation support, variances adjustments, savings tracking and other management activities for the business. In this role, you will report to the Finance Senior Manager, also based in Guadalajara. The finance analyst will be a supporting partner for all personnel related activities, internal and external, as it relates to the Mexico operations.
Responsabilidades
1
Run postings for manual transactions through monthly activities. Recording preliminary documents sent by the different financial processes and their own, ensuring each of them meets the essential requirements for their execution (documentary support, approvals, compliance with accounting rules) aligned with GAAP and SOX regulations. (P) To introduce quality information to the books for the subsequent creation of financial statements
2
Evaluating financial operations to recommend best practices, identify issues and help organization to run efficiently. Handles financial business issues with their knowledge and experience to drive business to organization goals from an accounting perspective.
3
Month closing execution. Appropriate usage of transactions in SAP for foreign currency revaluations, material level postings for inventory valuation, as well as ensuring variance analysis as financial processes complete their activities and associated reconciliations (e.g. Payroll , Fixed Assets, Inventories, travel expenses, treasury, etc.), ensuring the necessary intercompany reconciliations, and validating all costs are appropriately recognized including provisions prior to the execution of closing critical processes such as Inventories. Subsequently generate financial statements and document with comments of significant variations prior to the review by the Accounting Leader and Manager, sign and document the closing integrity list. Keep financials records on compliance according to company and law policies.
4
Responsible for certain accounting delivers of Mexico Operations with a high interaction to Senior Manager and Director level. Build, foster, and maintain good working relationships with members of the Accounting Controllership, Finance business partners and stakeholders
5
Provides analytics to business initiatives to categorize and classification of information such as: revenue, expenses,budget, inventory counts, sales tax collected. Accurate information it's a solid accounting practice.
6 Develops an understanding of CBI's financial processes and a working knowledge of the business.
7 Perform data analytics analysis.
8 Bank reconciliation to recognize cash balance on company balance status. These statements are key to both financial modeling and accounting to the corresponding amount on its bank statement. Reconciling accounts helps to identify possible errors and possible changes in the way we administrate business.
Location
Tequila Office
Additional Locations
Job Type
Full time
Job Area
Finance & Accounting
Equal Opportunity
Constellation Brands is committed to a continuing program of equal employment opportunity. All persons have equal employment opportunities with Constellation Brands, regardless of their sex, race, color, age, religion, creed, sexual orientation, national origin or citizenship, ancestry, physical or mental disability, medical condition (cancer or genetic characteristics), marital status, gender (including gender identity or gender expression), familial status, military or veteran status, genetic information, pregnancy, childbirth, breastfeeding, or related conditions (or any other group or category within the framework of the applicable discrimination laws and regulations).