Senior Manager Finance m/w/d at CordenPharma
Plankstadt, Baden-Württemberg, Germany -
Full Time


Start Date

Immediate

Expiry Date

22 Apr, 25

Salary

0.0

Posted On

23 Jan, 25

Experience

0 year(s) or above

Remote Job

No

Telecommute

No

Sponsor Visa

No

Skills

Corrective Actions, Cash Management, Forecasting, Annual Budgets, Reporting Requirements, Financial Operations, Cpi, Financial Statements, Financial Goals, Budgeting, Liquidity Management, Regulations, Continuous Improvement, Finance, Systems Management

Industry

Financial Services

Description

CordenPharma ist eine der führenden Contract Development and Manufacturing Organizations (CDMO) und entwickelt und produziert im Auftrag ihrer Kunden als „Full-Service“-Dienstleister pharmazeutische Wirkstoffe, Arzneimittel und damit verbundene Verpackungsdienstleistungen. Die Gruppe beschäftigt rund 3.000 Mitarbeiter.
Unser Netzwerk in Europa und den USA bietet flexible und spezialisierte Lösungen für fünf Technologieplattformen: Peptide, Lipide & Kohlenhydrate, Injektionsmittel, hochpotente Wirkstoffe & Onkologie sowie kleine Moleküle. Wir streben nach Spitzenleistungen bei der Unterstützung dieses Netzwerks und engagieren uns für die Bereitstellung von Produkten höchster Qualität zum Wohle der Patienten.
CordenPharma International (CPI) agiert als Management Gesellschaft der CordenPharma Gruppe. Neben dem Executive Leadership Team sind bei CPI zentrale Funktionen wie beispielsweise Sales & Marketing, Legal, HR und Corporate Development ansässig, die standortübergreifend und auf internationaler Ebene für die CordenPharma Gruppe tätig sind.
Zum nächstmöglichen Zeitpunkt suchen wir einen

Responsibilities
  • Strategic and Operational Leadership: Oversee and manage the areas of Accounting, Controlling, and Finance, ensuring alignment with the company’s financial goals and group policies.
  • Budgeting, Forecasting & Reporting: Lead the preparation of annual budgets, forecasts, and monthly financial reports. Ensure accuracy and transparency in financial data, including costs, intercompany recharges, reconciliations, balance sheet management, capital expenditure, and working capital. Analyze financial deviations and implement corrective actions as needed.
  • Cash Management & Liquidity: Manage cash flow, payment runs, and liquidity forecasting. Prepare and provide liquidity reports, acting as the key liaison with Group Treasury to ensure smooth cash and liquidity management.
  • Cross-Departmental Collaboration: Foster strong cooperation with internal and external stakeholders, including site finance teams, global cost center owners, Group Controlling, Group Finance, external auditors, Group Tax, and external tax consultants, to ensure the effective flow of financial information.
  • SAP Financial Systems Management: Serve as the SAP key user for all finance-related topics, ensuring proper configuration and management of financial structures, account determination, master data for cost centers, and chart of accounts. Collaborate with Group IT and the Global Process Owner for Finance (FI/CO) to ensure the system supports financial operations effectively.
  • Process Optimization & Compliance: Ensure continuous improvement of finance-related processes and systems, guaranteeing compliance with internal and external standards and regulations
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