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
Job Summary
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.
Responsible for monthly financial close activities, financial statement preparation, balance sheet analysis, weekly forecasting of operating expenses and monthly rolling estimate.
We are committed to your professional development, offering opportunities for growth and advancement.
Matching Summary
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.
Skills & Requirements
Must-have
Financial data analysis
Internal control environments
Monthly rolling estimate
Capital project review
SAP, Excel, and Access proficiency
Nice-to-have
Growth mindset
Inclusive culture
Agile and curious behaviors
Continuous learning
Key Requirements
Bachelor's Degree in Finance, Accounting, or related field
7+ years of relevant financial experience
Manufacturing or supply chain experience preferred
Advanced financial analysis and problem-solving skills