Assistant Finance Manager at POINT GLOBAL LOGISTICS LLC
Humble, Texas, United States -
Full Time


Start Date

Immediate

Expiry Date

06 Aug, 26

Salary

0.0

Posted On

08 May, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Analysis, Data Visualization, Treasury, Corporate Accounting, Multinational Accounting, Microsoft Excel, VBA, Power BI, Pivot Tables, Cost Accounting, Cash Flow Forecasting, ERP Implementation, Collections, Financial Modeling, KPI Tracking, P&L Analysis

Industry

Logistics;Transportation;Supply Chain and Storage

Description
Description Point Global Logistics is a global, independent freight forwarder and logistics provider with branch offices in Asheville, Houston, Chicago, Charlotte, New Jersey, San Francisco, Dominican Republic, Sonora, Mexico, Hamburg, Germany, Frankfurt, Germany, Shanghai, China, Rio de Janeiro and São Paulo, Brazil and an extensive network of 75 partners throughout 28 countries around the world. Founded in 2014, we deliver transportation solutions to our clients by matching our expertise with personal attention to every detail in the supply chain. We are seeking a dynamic and detail-oriented Assistant Finance Manager to join our team and drive strategic processes across our organization. In this pivotal role, you will leverage your expertise in financial analysis, data visualization, treasury and corporate/multinational accounting to optimize financial performance and enhance business processes. Conduct in-depth financial analysis, including profit & loss statements, cash flow forecast, and cost accounting. Develop sophisticated financial models and tools using Microsoft Excel, VBA, Power BI, and other business intelligence tools to support the monthly close process and treasury initiatives. Collect, organize, and interpret complex data sets utilizing Pivot tables. Support collection and payment processes. Collaborate with cross-functional teams on ERP system implementations to ensure seamless financial operations. Assist in the development of business intelligence dashboards that visualize key metrics such as profit & loss performance and strategic KPIs for executive review. Requirements Bachelor’s degree in Finance, Accounting, Economics or related field. 5-7 years of professional experience. Proven experience in financial analysis, collections and treasury within corporate finance. Strong proficiency with Microsoft Excel including advanced functions like Pivot tables, X/H/VLOOKUPs, Macros (it is a must) VBA scripting and experience with Power BI for data analysis/visualization. (nice to have) Knowledge of accounting principles. Excellent analytical skills combined with a strong mathematical foundation to interpret complex data sets accurately. Ability to work in person at the company headquarters in Humble, Texas
Responsibilities
The role involves conducting in-depth financial analysis, managing treasury initiatives, and developing sophisticated financial models and BI dashboards. The candidate will also support collection processes and collaborate on ERP system implementations to optimize financial operations.
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