Operations Finance Manager

VEKA - North AmericaFranklin Township, PA

About The Position

VEKA is seeking a high-potential finance professional for a developmental leadership role designed to build future succession for senior finance leadership. This role offers broad exposure across controlling, financial planning & analysis (FP&A), operational finance, margin analysis and audit within a multi-site manufacturing environment, with increasing responsibility over time. This role partners closely with commercial and operational team members to drive profitability, cost discipline, and data driven decision-making.

Requirements

  • Strong accounting understanding, financial modelling skills, and analytical capabilities.
  • Advanced proficiency in Microsoft Excel.
  • Experience with ERP systems (SAP preferred).
  • Solid understanding of cost accounting, margin analysis, and profitability drivers.
  • Proven team lead capabilities.
  • Ability to collaborate cross–functionally in order to develop an overall understanding of VEKA’s business as well as an understanding of each site’s operations, financial performance and key drivers.
  • Strong commercial acumen and business partnering mindset.
  • Ability to influence operational and sales stakeholders.
  • Excellent communication and presentation skills.
  • Strong strategic thinking and problem-solving skills.
  • Keen attention to details and accuracy.
  • Ability to operate effectively in a multi-site, fast-paced environment.
  • Discretion and confidentiality are a must.
  • Bachelor’s degree in Finance, Accounting or related field.
  • 6–10+ years of experience in Controlling, FP&A, operational finance, or public accounting.
  • Experience in manufacturing, industrial, or capital-intensive environments strongly preferred.

Nice To Haves

  • CPA, CMA, or equivalent preferred.
  • Experience with German accounting methods or international financial consolidation preferred.

Responsibilities

  • Learns all aspects of the monthly closing process and supports each area on a rotational basis (Closing of Accounts Payable, Product costing and inventory, Personnel, freight, maintenance and other expense categories, Fixed assets and depreciation, Margin analysis by location).
  • Participate in the company transition to the CO-PA module in SAP.
  • Provide support for capital expenditure evaluations and VOFI analysis for investments going forward and on a post-mortem basis.
  • Support the conversion of key reports from Business Warehouse and Business Objects server to Datasphere.
  • Oversight of monthly Sales and Use Tax Returns.
  • Support the annual budgeting and forecasting processes for VEKA NA.
  • Support business profitability analyses (e.g. Segments, Lamination, Value-Ad Center (VAC), Door shop, etc.).
  • Develop financial models to support commercial, operational, and strategic decisions.
  • Partner with Controlling leaders at Parent Company in Germany to align on financial performance, drive process improvements, and support global strategic objectives.
  • Build SAP Analytics Cloud (SAC) performance dashboards and KPIs for leadership.
  • Use Margin Contribution Calculation (MCC) tool to understand current margin performance and trends.
  • Partner with operations and commercial team by participating in Business Unit (BU) Leadership team meetings to understand drivers of profitability and to support commercial and operational team members.
  • Analyses data and communicates opportunities to reduce costs and maximize profits.
  • Support leadership with data-driven insights and performance analysis.
  • Participate in cross-functional initiatives to improve efficiency and results.
  • Assist in financial analysis for capital investments and business cases.
  • Develop understanding of cash flow and working capital drivers.
  • Gain exposure to broader financial structure concepts.
  • Support year-end close processes in collaboration with VEKA North America accounting team, external auditors and Controlling at parent company in Germany.
  • Ensure compliance with internal controls and company financial policies.
  • Drive improvements in reporting accuracy, data integrity, and ERP utilization.
  • Support preparation of annual Corporate Tax returns and related schedules.
  • Any other assigned responsibilities.
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