# Finance Manager

> Activate Talent · Mexico (Remote) · — · Posted 2026-03-02

**Workplace:** remote

## Description

**Role:** Finance Manager

**Location:** 100% Remote (PST)

**Schedule:** Monday to Friday 8am to 5pm

**Contract:** Long Term - Independent Contractor

**Overview**

We are seeking an experienced **Finance Manager, International** to lead and optimize financial planning and analysis processes across global markets. This role will serve as a key business partner to cross-functional leaders, supporting strategic decision-making through budgeting, forecasting, reporting, and financial insights.

This position plays a critical role in driving financial performance, improving processes, and supporting long-term international growth initiatives.

**Key Responsibilities**

**Financial Planning & Forecasting**

-   Lead annual budgeting and monthly forecasting processes for international regions.
-   Partner with department leaders to ensure alignment with business objectives.

**Financial Analysis & Reporting**

-   Conduct detailed financial analyses to evaluate performance, trends, and opportunities.
-   Perform budget-to-actual variance analysis and clearly communicate key drivers.
-   Prepare and present financial reports highlighting KPIs and performance insights.

**Financial Modeling & Decision Support**

-   Develop and maintain financial models, including scenario planning and long-term projections.
-   Provide actionable insights to leadership to support strategic decisions.

**Cross-Functional Collaboration**

-   Partner with regional leaders and country managers to gather financial data and insights.
-   Support accounting teams during monthly close cycles.

**Performance Metrics & Process Improvement**

-   Help define and track key performance indicators for international operations.
-   Identify and implement improvements to FP&A processes and reporting efficiency.

**Ad Hoc Projects**

-   Perform additional financial analyses and support special projects as needed.

## Requirements

-   Bachelor’s degree in Finance, Accounting, or a related field.
-   MBA or advanced degree is a plus.
-   4–6 years of FP&A experience.
-   Strong experience in budgeting, forecasting, financial modeling, and variance analysis.
-   Preferred experience building three-statement financial models and cash flow forecasts.
-   Proficiency in Excel and financial analysis tools.
-   Excellent analytical, problem-solving, and communication skills.
-   Ability to translate financial data into strategic insights.
-   Experience collaborating with cross-functional stakeholders.

## Apply

[Apply at Activate Talent](https://apply.workable.com/careersactivatetalent/j/065553A33D/apply)

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