Rotations
Possible rotations include:
Corporate Controlling
- Financial Planning and Analysis- Track pricing including
givebacks, volume projections, and control of payments. Design and
maintain financial models to consolidate monthly forecasts and annual
operating plan.
- Corporate Accounting- Reconcile daily general ledger system
feeds. Analyze, review and perform necessary follow-up or adjustment to
ensure accuracy. Maintain documentation of these procedures in
compliance with all Internal Audit and Sarbanes-Oxley requirements.
- External Reporting- Ensure accuracy and completeness of all
external financial reporting including SEC filings and earnings
releases.
Business Group Finance-Cost analysis and cost management
activities including margin analysis, manufacturing cost analysis, and
operating expense analysis. Insure the accuracy of financial reporting
systems.
Internal Audit/SOX-Provide advice and guidance on
internal control system features and functionality involving the
reliability of financial reporting, the effectiveness and efficiency of
operations, the safeguarding of company assets, and compliance with
laws and regulations.
Treasury
- Capital Markets- Provide analytical support for ArvinMeritor’s
debt and bank facility programs with special emphasis on
securitization and leasing programs. Implementing and maintaining
global cash and interest expense forecasting.
- Cash Management- Prepare various cash reports, daily
administration of the U.S. and Canadian cash management process, and
maintenance and upgrade of various cash management and bank reporting
systems.
Investor Relations- Assist in the coordination of meetings
to provide analysts and investors with realistic expectations for the
company’s performance. Keep management apprised of analyst and
investor sentiment by gathering market opinions, attitudes, and
reactions to company issues.