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We are looking for an accomplished finance executive to lead the organization’s financial strategy and support long-term business growth in Easton, Pennsylvania. This role will partner closely with senior leadership to guide investment decisions, strengthen financial performance, and ensure effective risk management across the business. The ideal candidate brings strong operational finance expertise, sound judgment, and the ability to translate complex financial data into clear business direction.
Job Responsibility
Shape and implement a forward-looking financial strategy that supports business objectives, expansion plans, and overall risk appetite
Serve as a key advisor to executive leadership by evaluating the financial impact of major initiatives, including investments, acquisitions, and growth opportunities
Direct companywide budgeting, forecasting, and long-range planning activities to align financial plans with strategic priorities
Establish performance metrics and deliver analytical insight on profitability, pricing, margins, and cost management to improve decision-making
Lead accounting oversight, including general ledger activity, cost accounting, and the delivery of accurate month-end and year-end financial close processes
Ensure compliance with applicable accounting standards, tax obligations, regulatory requirements, and internal reporting expectations
Strengthen internal controls, coordinate external audits, and manage insurance, tax, and broader compliance matters to safeguard company assets
Provide financial and operational oversight for functions such as IT, cybersecurity, HR-related planning, benefits governance, logistics, distribution, contract review, and real estate matters
Requirements
Proven leadership experience in senior finance roles, preferably within a VP or Director-level capacity
Strong background in annual budgeting, forecasting, and financial planning and analysis
Demonstrated expertise in financial reporting, month-end close, and accounting oversight
Experience managing cash flow forecasting, treasury operations, and banking relationships
Solid knowledge of audit coordination, internal controls, and regulatory compliance requirements
Ability to develop pricing and margin analysis that supports profitable business decisions
Excellent leadership, communication, and cross-functional partnership skills