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Finance Manager CTD Mexico


Job Location:

Mexico City - Mexico

Monthly Salary: Not provided by the employer
Posted: 3 July 2026 (30+ days ago)
Application Deadline: 30 September 2026
Vacancies: 1 Vacancy

Job Summary

Work Schedule

Standard (Mon-Fri)

Environmental Conditions

Office

Job Description

We are the Clinical Trials Division (CTD): We Supply the Hope that Changes Lives

CTD partners with pharmaceutical and biotech customers around the world to ensure the right patients receive the right therapies at the right doses at the right timea concept we embrace internally as There is a Patient Waiting.

Our unique blend of services includes project management packaging distribution transportation management and specialty logistics ancillary supply management clinical supply optimization bio-repository storage and more. With over 4000 employees across 15 countries our teams work every day knowing that what they do truly matters.

How you will make an impact

The CTD LATAM Finance team is seeking a Finance Manager to provide financial leadership and strategic business partnering support to our Mexico business. This role combines controllership and business partnering responsibilities working closely with the General Manager and operational leaders across the site.

The Finance Manager will play a critical role in delivering actionable financial insights supporting decision-making and identifying opportunities to improve operational performance. Additionally this role will drive financial discipline ensure compliance and build and develop a high-performing finance team.

What you will do

  • Lead the monthly close process in close partnership with local third-party accounting firm ensuring accuracy completeness and integrity of financial information from account reconciliation through reporting.
  • Partner closely with the General Manager and Operations team to prepare monthly business reviews delivering analytical insights and actionable plans to drive performance.
  • Coordinate the monthly billing cycle in partnership with Operations and Intercompany teams ensuring accuracy timeliness and alignment with business requirements.
  • Manage the monthly forecasting process identifying communicating and driving actions on risks and opportunities.
  • Lead the Annual Operating Plan (AOP) providing financial insights challenging assumptions and ensuring alignment with business strategy.
  • Partner with internal and external stakeholders to ensure high service levels and accuracy across payments cash management and tax-related processes.
  • Serve as a point of reference for data integrity driving process improvements and automation through the effective use of tools.

Requirements

  • 7 years of relevant experience in a complex multinational multi-site environment
  • Bachelors degree in Finance Accounting or a related field
  • Work Experience w/ a Big 4 is a plus
  • Excellent written and verbal communication skills in English
  • Demonstrated experience driving process improvements and automation leveraging tools to enhance efficiency and data accuracy; advanced Excel skills are required
  • Strong attention to detail and high level of process rigor
  • Ability to manage multiple priorities and deliver consistent accurate and reliable work in a fast-paced environment


Required Experience:

Manager


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