At the Coca-Cola Company, we are a center of excellence who work collaboratively to find new and innovative ways to strategically move the business forward by balancing the short-term results and long-term sustainability while proactively leading, shaping, and creating system value. We set the standards and policies for the Company and we’re looking for candidates with a proven ability to analyze and interpret financial data to make a global impact for some of the most recognized brands in the world. In this role you’ll steward internal control environments, developing productivity initiatives and reviewing capital projects/strategy, as well as be accountable for the annual business planning and monthly rolling estimate process.
Requirements
- Responsible for monthly financial close activities, financial statement preparation, balance sheet analysis, weekly forecasting of operating expenses and monthly rolling estimate.
- Interpret and communicate results to appropriate levels of management, assessing for risk and opportunity trends.
- Develop and deploy solutions to mitigate risk and execute opportunities
- Steward internal controls review to ensure compliance with required controls & processes.
- Provide financial leadership by identifying productivity improvement opportunities and analyzing/recommending productivity initiative pipeline projects.
- Provide strategic direction for business planning process and play a tactical role as needed.
- Produce and review completed analyses that require application of financial concepts and/or tools.
Benefits
- Leadership Development
- Total Rewards
- Learning & Development

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