YFY Jupiter US

YFYJupiter is a global leader in the packaging industry, proudly serving a portfolio of respected, high-profile clients across sectors. Known for our innovation, manufacturing excellence, and commitment to sustainable growth, we partner with top-tier brands to deliver customized packaging solutions that meet today’s dynamic market needs. As we continue to expand, we are seeking an experienced Supply Chain/Facility Manager to open and manage our new facility in the Dallas, Texas, area.Position SummaryThe Finance Manager sits within YFY Jupiter’s Finance function and owns U.S.-based treasury and intercompany fund operations, serving as the operational hub for cash management, U.S./Mexico related-party trade settlement, and intercompany loan administration. The role directly manages a Juarez-based Treasury Specialist and reports to the CFO (Taipei). Finance and Accounting operate as parallel, co-equal functions: this role does not own the general ledger or financial statement close, and coordinates with the U.S. Accounting Lead (Taipei) and the Mexico Accounting team as a peer function to ensure cash and intercompany activity is executed accurately and on schedule.Key ResponsibilitiesTreasury & Cash ManagementManage U.S. local bank accounts, cash positioning, and short-term liquidity planning; monitor daily/weekly cash balances and coordinate funding needs with the CFO; directly manage the Mexico-based Treasury Specialist, providing operational oversight of local Mexico treasury activities (bank relationships, cash positioning, and fund remittances) in support of U.S./Mexico intercompany trade settlement.U.S./Mexico Intercompany Trade & Fund FlowManage settlement and reconciliation of the U.S./Mexico related-party trade account (DBA), ensuring fund transfers align with agreed schedules and documentation; coordinate fund flow scheduling between U.S. and Mexico operations; monitor USD/MXN exposure arising from intercompany trade and funding flows and flag material FX movements to the CFO.Intercompany / Related-Party LoansAdminister intercompany and related-party loan balances, including tracking of principal, interest accrual, and settlement schedules; support internal control documentation over the treasury and intercompany fund-flow cycle; prepare loan schedules and supporting documentation for compliance requirements and audit/tax review.Budgeting & ForecastingLead preparation of the U.S. entity’s annual budget and periodic rolling forecasts, incorporating funding and cash-flow assumptions; consolidate budget/forecast inputs from Mexico operations.Cross-Region CoordinationReconcile treasury and intercompany activity against the books maintained by the U.S. Accounting Lead (Taipei) and outsourced accounting provider; provide ad hoc analysis and data support to the CFO on cash, funding, and related-party matters, including inputs relevant to U.S. commercial team commission settlement timing.QualificationsBachelor’s degree in Finance, Accounting, or a related field. (Required)5+ years of experience in corporate treasury, FP&A, or intercompany/related-party accounting operations. (Required)Demonstrated experience managing cash/fund flow across multiple entities or currencies. (Required)Experience operating within a multinational or cross-border corporate structure, ideally coordinating with an overseas headquarters and/or a Mexico-based operation. (Required)Strong Excel/financial modeling skills (Required)ERP proficiency (Required); SAP Business ByDesign experience a plus.Excellent written and verbal English communication skills, with the ability to coordinate clearly across time zones and functions. (Required)Spanish language proficiency (Preferred)Chinese language proficiency (Preferred)Experience with U.S./Mexico intercompany trade settlement or maquiladora/IMMEX-adjacent fund flows. (Preferred)Experience with Taiwanese/U.S. company experience (Preferred)Treasury certification (e.g., CTP) or budgeting/FP&A background. (Preferred)Benefits:401(k)401(k) matchingDental insuranceEmployee assistance programFlexible spending accountHealth insuranceHealth savings accountLife insurancePaid time offParental leaveVision insuranceApplication Question(s):This is an in-office position. Are you able to work full-time in office?What are your salary requirements? Please list an amount or range that you would be willing to consider for this opportunity.Education:Bachelor’s (Required)Experience:SAP Business ByDesign: 3 years (Preferred)corporate treasury: 5 years (Required)multinational operations: 5 years (Required)Language:Spanish (Preferred)Chinese (Preferred)Work Location: In person

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