Manage a team of 2 to 6 to complete all mandatory reporting accurately and on time. Oversee the implementation of all financial policies and procedures in a new facility launch. Manage the budget of all three facilities in the U.S.A. ensuring that budget submissions are realistic, and all departments remain within their respective budgets. Overseeing the creation and management of monthly working papers and reconciliations to support amounts reported in financial statements/general ledger. Oversee the management of costing and variances. Develop and maintain a part profitability model. Manage treasury/cash management functions including banking relationships, leasing and working capital management. Preparation of annual business plan, quarterly financial forecasts and five-year business plan. Develop the expertise of the finance team in the U.S.A. as well as work to increase the financial literacy of the management team. Work closely with the corporate finance team to support various corporate objectives and projects. This is an opportunity to join our organization in a key moment of our growth, and become an important member of the management team in the U.S.A.