TREASURY & CASH MANAGEMENT Direct daily, weekly, and monthly cash-management activities, ensuring liquidity across U.S. and Mexico operations Manage banking relationships, cash forecasting, and treasury reporting Oversee cash-disbursement controls and payment cycles, including approval of large payables, check signing, and authorization of large wires/ACHs Optimize working capital through disciplined oversight of AP, AR, inventory, and production-related cash flows Support strategic capital planning, including equipment purchases, plant investments, and seasonal cash-flow requirements. TEAM & STRATEGIC LEADERSHIP Lead the Accounting and Treasury teams, including plant-level accounting functions in Mérida, Mexico Build a high-performance culture focused on accuracy, accountability, and continuous improvement Serve as a key partner to operations, manufacturing, supply chain, and executive leadership Serve as a member of the senior leadership team, participating in strategy and execution across Accounting, FP&A, Treasury, and Tax Review finance and payroll procedures and recommend improvements to controls, workflow, and process.