Description
Job Summary:
We are seeking a Finance and Accounting Specialist with experience in cash flow management, reconciliations, and accounting integration to ensure the company's financial health.
Key Highlights:
1. Manage direct and indirect cash flow, forecasts, and liquidity analysis.
2. Perform bank reconciliations and ensure accurate accounting.
3. Support the preparation of management reports and financial KPIs.
At Tenneco, we don’t follow industry standards; we set them, and we don’t settle for being best\-in\-class because we hustle to be *better than* best\-in\-class. Whether it’s our Core Values – radical candor, simplify, organizational velocity, tenacious execution and win – or our Get Stuff Done (GSD) mindset, we’re determined to become the most trusted partner and best manufacturer and distributor to the transportation industry.
With a product portfolio as expansive as it is innovative, an obsessive commitment to quality and excellence, and a global presence, we’re all about getting stuff done, so we can win.
How do we make it happen? Through the Tenneco Way. Fueled by our Core Values, a winning mindset and a relentless commitment to excellence, the Tenneco Way is how we win. It’s what keeps Team Tenneco bold, driven, and unapologetically focused on pushing past limits and redefining success.
Here, you’ll work alongside a team of relentless problem\-solvers who are committed to making a tangible impact. If you’re ready to break boundaries, deliver results, and enjoy the ride along the way, you’ll thrive here.
Want to learn more about who we are? Check out our website to discover the Tenneco Way.
DRiV is the aftermarket business group of Tenneco \- DRiV website
We are looking for a **Finance and Accounting Specialist** with solid experience in cash flow management, financial reconciliations, and integration with accounting processes. This professional will be responsible for ensuring the company's financial health, guaranteeing compliance with accounting standards and optimizing treasury processes.
**Key Responsibilities**
* Manage **direct and indirect cash flow**, forecasts, and liquidity analysis.
* Perform **bank reconciliations** and ensure accurate accounting of financial transactions.
* Monitor **foreign exchange operations**, financial investments, and risk management.
* Support the **preparation of management reports** and financial KPIs.
* Knowledge of **internal policies and accounting standards** (BRGAAP / IFRS).
* Participate in **accounting closing processes**, ensuring integration between treasury and accounting.
* Implement process and system improvements related to treasury.
* Experience in accounts payable and accounts receivable
**Requirements**
* Bachelor’s degree in **Accounting, Business Administration, Economics, or related fields**.
* CRC certification preferred
* Proven experience in **Treasury** with accounting interface (5+ years).
* Knowledge of **ERP systems** (SAP, Oracle or similar).
* Advanced **Excel** proficiency and financial analysis tools.
* Knowledge of **IFRS** and **corporate accounting** is preferred.
* Intermediate or advanced English is considered a plus.
* Experience with OneStream platform