Company Overview:Founded in 1997, Clase Azul Mexico is a luxury spirit brand boasting a full range of ultra-premium agave-based distillates from the highlands of Jalisco, Mexico.
We proudly work with local Mexican artisans to hand-make each of our bottles, and fully support Mexican artistry from ancestral distilling methods to indigenous craft-making.
We work tirelessly to improve the lives of our team members and look to captivate the world through the spirit of Mexican culture!Job Summary:Manage for driving technical accounting and tax compliance, financial and sales operation internal controls, process simplification, and operational excellence to deliver accurate actual financial reporting and analysis.Interprets simple internal and external business challenges regarding sales operations and recommends best practices to improve operation.
Stays informed of industry trends and law regulations that may influence workflows and company compliance.Responsibilities will include but are not limited to:Lead and supervise accounting transactions records and ensure a closing according to the company group deadlines.Play a key role in supply planning as part of monthly integrated business planning process.Provide visibility to procurement and logistics, focusing on continuous improvement and business performance/KPIs of operational drivers.Ensure that CAE complies with all tax laws and regulations at the federal, state, and local levels .
Identifying tax risks and developing solutions to tax problems.Tracking and generating KPIs and generating reports for supply chain accounting and finance performance to make decisions on time and be compliant with local regulations.Coordinating with multiple stakeholders, including suppliers, manufacture in Mexico, distributors, and internal teams.
Analyzing supply chain performance and forecasting future needs for EMEIA Region.Lead Accounts receivable and payable: revenue accounting, deposits applications, aging report and expense and inventory accounting, payment applications, aging report.Supervise Treasury, managing cash flow, forecasting cash needs, and maintaining liquidity to meet operational needs of EMEIA Region.Lead legal compliance in the region and advice headquarter office and EMEIA office to be compliant regarding Operations and Finance and Accountig practices, policies and implementation in the region to be aligned with local regulations.Lead the annual creation of EMEIA's financial budget and monitor rolling forecast to align needs and communicate deviations to make decisions according to business objectives.Skills and Qualifications:Previous experience in finance, logistic, Administration, legal tax.Strong communication skills with the ability to articulate and engage effectivelyWillingness and ability to travel, including a valid driver's licenseAbility to work collaboratively with internal and external teamsStrategic thinker with excellent problem-solving skillsAdvance English