Job Description
Visteon is advancing mobility through innovative technology solutions that enable a software-defined future. Our state-of-the-art product portfolio merges digital cockpit innovations, advanced displays, AI-enhanced software solutions, and integrated EV architecture solutions. With expertise spanning passenger vehicles, commercial transportation, and two-wheelers, Visteon partners with global automakers to create safer, cleaner, and more connected journeys. Headquartered in Van Buren Township, Michigan, Visteon operates in 17 countries, employing a global network of innovation centers and manufacturing facilities.
Key Objectives of this Role
•Own the Global FI & Treasury Template: Drive standardized financial processes, global chart of accounts governance, treasury workflows, and accounting controls across all countries and entities.
•Ensure High-Quality Rollouts: Lead FI & Treasury blueprinting, build, SIT/UAT execution, cutover, and hypercare for each site rollout.
•Enable Financial Close Excellence: Drive improvements in period close accuracy, timeliness, automation, and cross-module integration (OTC, PTP, DTS, EWM).
•Strengthen Governance, Controls & Compliance: Ensure global compliance with ICFR, ITGC, SOX, audit requirements, and corporate governance.
•Lead Treasury Transformation: Implement and stabilize global cash management, bank integration, payments, liquidity forecasts, and automation frameworks.
•Cross-Functional Integration Leadership: Ensure clean integration between FI, CO, MM, SD, EWM, GRC, CPI, and external systems (banks, OpenText, BI, legacy ERPs).
•Capability Building: Develop Visteon’s internal financial and SAP FI/CO/Treasury capability through coaching, documentation, and knowledge transfer.
•Support Business Value Realization: Improve financial reporting accuracy, optimize working capital visibility, and enhance global treasury operations.
Key Performance Indicators
System Deployment & Program KPIs
•On-time delivery of FI & Treasury blueprint, build, SIT/UAT, cutover, and go-live.
•% reduction in localized customizations vs. template baseline.
•Defect leakage rate across testing phases.
•Hypercare stabilization score (FI/CO/Treasury defect closure, bank connectivity, cash position accuracy).
•Quality of financial documentation, controls, and design assets.
Finance Operational KPIs
•Month-end close cycle time improvement.
•Accuracy of automated postings (GR/IR, FX revaluation, accruals, bank statements).
•Reduction in manual journal entries.
•Accuracy and timeliness of cash positioning & liquidity forecasts.
Treasury Performance KPIs
•Straight-through processing (STP) success rate for payments.
•Bank statement posting & reconciliation automation rate.
•Treasury workstation (SAP TM/CM) stability and integration reliability.
•Reduction of treasury operational risks.
Compliance & Audit KPIs
•ICFR/SOX audit pass rate with no material findings.
•Accuracy and completeness of financial controls and evidence.
•Segregation of duties governance and approval flows.
Stakeholder Satisfaction KPIs
•CFO, CAO, and local finance leader satisfaction score.
•Business user experience rating post go-live.
•End-user training and adoption metrics.
Key Year One Deliverables
•Stabilize the FI & Treasury Solution at the Pilot Site (Palmela)
oClose open issues in cash management, bank statements (MT940), payments, month-end close, and FX valuation.
oAchieve high accuracy of automated clearing, GR/IR processing, and reconciliation.
•Finalize the Global Finance Template & Control Framework
oChart of Accounts governance, cost center & profit center design, financial controls, ICFR alignment, and consistent global postings.
oStandardized asset accounting, tax, banking, and payment processes.
•Deliver Blueprint & Build for Tunisia, Asia, and Subsequent Sites
oFit-gap analysis with minimum variance.
oLocalization for statutory, tax, fiscal, and banking requirements.
oTreasury integration with global banking partners.
•SIT/UAT Leadership Across All Finance & Treasury Processes
oCash management, liquidity forecast, bank connectivity testing.
oEnd-to-end financial flows including OTC, PTP, inventory, costing, manufacturing, and fixed assets.
oZero critical issues leaking past UAT.
•Cutover Preparation & Execution
oBalance sheet and sub-ledger migration (AP, AR, asset accounting).
oOpen items, tax balances, bank positions, and cash balances.
oMonth-end mock close cycles.
•Strengthen Internal Capability
oFinance playbooks, trainings, SOPs, and internal support readiness.
oMentoring of internal FI/CO/Treasury analysts and business finance teams.
Qualification, Experience and Skills
•Master’s / bachelor’s degree in business management, Accounting, or Finance
•16+ years of relevant SAP FI/CO and Treasury experience in multinational or global environments
•Deep expertise in S/4HANA FI, CO, New GL, Asset Accounting, Bank Accounting, Cash Management, and Treasury & Risk Management
•Strong integration knowledge with OTC, PTP, DTS, EWM, GRC, CPI, and external financial interfaces
•Proven experience with global banking connectivity, payment formats (ISO20022, ACH, SEPA), and bank statement automation
•Strong knowledge of financial controls, compliance, ICFR, SOX, ITGC, and audit workflows
•Experience collaborating closely with CFO, CAO, Controllers, and senior business leaders
•Strong skills in blueprinting, functional design, cross-module integration, testing, and cutover
•Ability to draft strong accounting logic, posting flows, and reconciliation frameworks
•Excellent communication and presentation skills
•Ability to operate effectively in fast-paced, multi-country rollout settings
Key Leadership Behaviors
Leadership Principles
•Lead from the Front: Take ownership of financial stability, issue resolution, and process governance.
•Build Strong Teams: Develop internal finance and SAP capability; establish centers of excellence.
•Inspire Change: Drive adoption of standardized, automated processes that reduce manual effort.
•Lead the Market: Modernize Visteon’s finance and treasury functions with advanced SAP capabilities.
Additional Critical Behaviors
•Critical Thinking: Break down complex accounting and treasury discrepancies with structured analysis.
•Control Mindset: Ensure accuracy, compliance, and risk mitigation in all financial and treasury processes.
Key Objectives of this Role
•Own the Global FI & Treasury Template: Drive standardized financial processes, global chart of accounts governance, treasury workflows, and accounting controls across all countries and entities.
•Ensure High-Quality Rollouts: Lead FI & Treasury blueprinting, build, SIT/UAT execution, cutover, and hypercare for each site rollout.
•Enable Financial Close Excellence: Drive improvements in period close accuracy, timeliness, automation, and cross-module integration (OTC, PTP, DTS, EWM).
•Strengthen Governance, Controls & Compliance: Ensure global compliance with ICFR, ITGC, SOX, audit requirements, and corporate governance.
•Lead Treasury Transformation: Implement and stabilize global cash management, bank integration, payments, liquidity forecasts, and automation frameworks.
•Cross-Functional Integration Leadership: Ensure clean integration between FI, CO, MM, SD, EWM, GRC, CPI, and external systems (banks, OpenText, BI, legacy ERPs).
•Capability Building: Develop Visteon’s internal financial and SAP FI/CO/Treasury capability through coaching, documentation, and knowledge transfer.
•Support Business Value Realization: Improve financial reporting accuracy, optimize working capital visibility, and enhance global treasury operations.
Key Performance Indicators
System Deployment & Program KPIs
•On-time delivery of FI & Treasury blueprint, build, SIT/UAT, cutover, and go-live.
•% reduction in localized customizations vs. template baseline.
•Defect leakage rate across testing phases.
•Hypercare stabilization score (FI/CO/Treasury defect closure, bank connectivity, cash position accuracy).
•Quality of financial documentation, controls, and design assets.
Finance Operational KPIs
•Month-end close cycle time improvement.
•Accuracy of automated postings (GR/IR, FX revaluation, accruals, bank statements).
•Reduction in manual journal entries.
•Accuracy and timeliness of cash positioning & liquidity forecasts.
Treasury Performance KPIs
•Straight-through processing (STP) success rate for payments.
•Bank statement posting & reconciliation automation rate.
•Treasury workstation (SAP TM/CM) stability and integration reliability.
•Reduction of treasury operational risks.
Compliance & Audit KPIs
•ICFR/SOX audit pass rate with no material findings.
•Accuracy and completeness of financial controls and evidence.
•Segregation of duties governance and approval flows.
Stakeholder Satisfaction KPIs
•CFO, CAO, and local finance leader satisfaction score.
•Business user experience rating post go-live.
•End-user training and adoption metrics.
Key Year One Deliverables
•Stabilize the FI & Treasury Solution at the Pilot Site (Palmela)
oClose open issues in cash management, bank statements (MT940), payments, month-end close, and FX valuation.
oAchieve high accuracy of automated clearing, GR/IR processing, and reconciliation.
•Finalize the Global Finance Template & Control Framework
oChart of Accounts governance, cost center & profit center design, financial controls, ICFR alignment, and consistent global postings.
oStandardized asset accounting, tax, banking, and payment processes.
•Deliver Blueprint & Build for Tunisia, Asia, and Subsequent Sites
oFit-gap analysis with minimum variance.
oLocalization for statutory, tax, fiscal, and banking requirements.
oTreasury integration with global banking partners.
•SIT/UAT Leadership Across All Finance & Treasury Processes
oCash management, liquidity forecast, bank connectivity testing.
oEnd-to-end financial flows including OTC, PTP, inventory, costing, manufacturing, and fixed assets.
oZero critical issues leaking past UAT.
•Cutover Preparation & Execution
oBalance sheet and sub-ledger migration (AP, AR, asset accounting).
oOpen items, tax balances, bank positions, and cash balances.
oMonth-end mock close cycles.
•Strengthen Internal Capability
oFinance playbooks, trainings, SOPs, and internal support readiness.
oMentoring of internal FI/CO/Treasury analysts and business finance teams.
Qualification, Experience and Skills
•Master’s / bachelor’s degree in business management, Accounting, or Finance
•16+ years of relevant SAP FI/CO and Treasury experience in multinational or global environments
•Deep expertise in S/4HANA FI, CO, New GL, Asset Accounting, Bank Accounting, Cash Management, and Treasury & Risk Management
•Strong integration knowledge with OTC, PTP, DTS, EWM, GRC, CPI, and external financial interfaces
•Proven experience with global banking connectivity, payment formats (ISO20022, ACH, SEPA), and bank statement automation
•Strong knowledge of financial controls, compliance, ICFR, SOX, ITGC, and audit workflows
•Experience collaborating closely with CFO, CAO, Controllers, and senior business leaders
•Strong skills in blueprinting, functional design, cross-module integration, testing, and cutover
•Ability to draft strong accounting logic, posting flows, and reconciliation frameworks
•Excellent communication and presentation skills
•Ability to operate effectively in fast-paced, multi-country rollout settings
Key Leadership Behaviors
Leadership Principles
•Lead from the Front: Take ownership of financial stability, issue resolution, and process governance.
•Build Strong Teams: Develop internal finance and SAP capability; establish centers of excellence.
•Inspire Change: Drive adoption of standardized, automated processes that reduce manual effort.
•Lead the Market: Modernize Visteon’s finance and treasury functions with advanced SAP capabilities.
Additional Critical Behaviors
•Critical Thinking: Break down complex accounting and treasury discrepancies with structured analysis.
•Control Mindset: Ensure accuracy, compliance, and risk mitigation in all financial and treasury processes.
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