Alphanumeric is hiring a FINANCE MANAGER to work a hybrid schedule in Marietta, PA with our client of 20+ years, a global organization committed to improving lives through medical and pharmaceutical advancements.
Pay Range: $51.00–$55.00/hour
Location: Marietta, PA | Hybrid
We are unable to accept applicants from 3rd parties for the role. Candidates must be eligible to work in the US without future sponsorship.
Position Overview:
Reporting to the Site Finance Head, the Finance Manager will support financial planning, reporting, compliance, and control activities for a pharmaceutical manufacturing site. This position will also serve as a key Finance Business Partner to Engineering, Planning, and Logistics, providing financial guidance related to budgets, forecasts, cost management, capital investments, and operational decision-making.
Key Responsibilities:
- Support site financial processes, reporting, controls, and month-end activities, providing coverage for the Site Finance Head as needed.
- Serve as the primary finance partner for Engineering, Planning, and Logistics, supporting budget development, forecasting, variance analysis, and cost center management.
- Review and oversee completion of the month-end SAP toll process performed by the SMAS Hub.
- Prepare product costing and cost estimates for new products using standard toll-manufacturing costing methodologies.
- Maintain the fixed asset ledger and support the financial closure of Assets Under Construction (AUC) projects.
- Provide financial analysis and support for site projects, including capital investment initiatives.
- Support preparation of the Annual Plan, including OPEX, recoveries, and standard product costing.
- Prepare and review intercompany transactions for accuracy and compliance.
- Review financial data for completeness, accuracy, and adherence to site and company requirements.
- Partner with local, regional, and global teams on financial reporting, issue resolution, and process implementation.
Qualifications:
- Experience with budgeting, forecasting, cost accounting, fixed assets, and/or general ledger accounting.
- Experience supporting finance within a manufacturing, operational, or similarly complex environment.
- Experience with SAP or another enterprise ERP system for financial transactions and reporting.
- Strong Microsoft Excel skills, along with proficiency in Word and PowerPoint.
- Experience supporting month-end close, financial reporting, variance analysis, product costing, and cost management.
- Knowledge of fixed assets, capital project accounting, and Assets Under Construction (AUC) processes.
- Working knowledge of internal controls, financial compliance requirements, and accurate transaction recording.
- Experience partnering with Engineering, Planning, Logistics, Operations, and site leadership is highly desirable.
- Working knowledge of Pennsylvania Sales & Use Tax compliance.
- Strong analytical, communication, presentation, and attention-to-detail skills.
- CPA or CMA preferred, but not required.
If you are a finance professional who enjoys combining hands-on financial analysis with business partnering in a manufacturing environment, we would love to hear from you.
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