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在 Kenvue,我們意識到日常護理的非凡力量。我們以一個多世紀的傳統為基礎,植根於科學,是標誌性品牌的品牌 - 包括您已經熟悉和喜愛的 NEUTRGENA®、AVEENO、TYLENOL®®、LISTERINE®、JOHNSON'S® 和 BAND-AID®。科學是我們的熱情所在;關心就是我們的才能。
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我們的全球團隊由 ~ 22,000 名才華橫溢的員工組成,他們的職場文化中,每個聲音都很重要,每一個貢獻都受到讚賞。 我們熱衷於洞察, 創新並致力於為我們的客戶提供最好的產品。憑藉專業知識和同理心,成為 Kenvuer 意味著每天有能力影響數百萬人。我們以人為本,熱切關懷,以科學贏得信任,以勇氣解決——有絕佳的機會等著您!加入我們,塑造我們和您的未來。有關更多資訊,請按兩下 here.
Role reports to:
Director Finance SC MAKE位置:
Latin America, Brazil, Sao Paulo, Sao Jose dos Campos工作地點:
混合你會做什麼
Kenvue is currently recruiting for:
Financial Coordinator - Capex NA Supply Chain Portfolio
This position is based in São José dos Campos - SP, in a hybrid mode.
Who we are
At Kenvue, we realize the extraordinary power of everyday care. Built on over a century of heritage and rooted in science, we’re the house of iconic brands - including Neutrogena, Aveeno, Tylenol, Listerine, Johnson’s and BAND-AID® Brand Adhesive Bandages that you already know and love. Science is our passion; care is our talent. Our global team is made up of ~ 22,000 diverse and brilliant people, passionate about insights, innovation and committed to delivering the best products to our customers. With expertise and empathy, being a Kenvuer means having the power to impact the life of millions of people every day. We put people first, care fiercely, earn trust with science and solve with courage – and have brilliant opportunities waiting for you! Join us in shaping our future–and yours. For more information, click here.
What you will do
As a Financial Coordinator - Capex NA Supply Chain Portfolio, you will be a key business partner, as a financial and operational strategist responsible for capital expenditure investment planning, and financial compliance across a region's supply chain, driving financial insights that influence decision-making and support growth across NA. In this position you´ll lead end‑to‑end financial analysis for capital investments, including budgeting, monthly closing, forecasting cycles, business case analyses, ensuring all Capex follows the proper compliance process.
You will also be responsible for developing financial models (NPV, ROI and Gross Profit analysis) and partnering closely with cross‑functional and portfolio leadership to support investment prioritization and capital allocation decisions.
Additionally, you’ll contribute to process improvements and ensure financial outcomes align with the company’s strategic objectives in NA.
Key Responsibilities:
- Engage as lead finance business partner providing decision support to partners by developing thorough financial analysis while cultivating both internal and external partnerships.
- Support development of the long-range financial capital plan in partnership with various groups by translating insights into cost effective, value adding solutions while creating roadmap to achieve long term financial goals.
- Engage as lead Finance Partner with portfolio team to support financial planning and forecasting processes, ensuring accuracy for capital investments and molds.
- Lead financial analysis for Capital Investments and delivers monthly financial reports with detailed analysis to support business insights and decision-making.
- Partner to ensure timely and accurate completion of monthly financial close activities.
- Prepare ad hoc analyses and executive-level presentations as needed.
- Support project business cases by developing financial models, including NPV, ROI, Gross Profit and other required analyses, also partner with Portfolio and Project Leaders to influence decisions through comprehensive financial evaluations.
- Continuously review and improve financial reporting processes, identifying opportunities for efficiency and automation.
- Collaborate cross-functionally with teams across the organization to support shared objectives and strategic initiatives.
- Inventory Governance: Collaborates with site teams to manage asset visibility, coordinate write-offs, and structure cost centers to improve overall financial control.
What we are looking for
Required Qualifications:
- Bachelor’s degree in Finance, Accounting, Economics, or related field (MBA or professional certification preferred).
- Solid experience in Supply Chain finance, FP&A, or related business experience is required.
- Knowledge of strategic investment capital planning.
- Knowledge of financial models (like NPV and ROI) to prioritize and justify multimillion-dollar capital investments in Supply Chain equipment, automation, and infrastructure.
- Strong business partnering skills.
- Ability to define problems, collect data, establish facts and draw valid conclusions.
- The ability to identify, recommend and implement process improvements.
- Proficiency in SAP, Excel and business intelligence tools.
- Fluency in English.
Desired Qualifications:
- Advanced Excel capabilities and strong experience using major ERP systems or business intelligence tools (e.g., SAP Ariba or Power BI).
- Experience in Gross Profit Analysis.
- Prior experience in matrixed environment.
Kenvue is proud to be an Equal Opportunity Employer. All qualified applicants will receive consideration for employment based on merit without regard to race, color, religion, sex, sexual orientation, gender identity, age, national origin, or protected veteran status and will not be discriminated against on the basis of disability.
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