Head of Finance - North America
Listed on 2026-06-30
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Finance & Banking
Financial Compliance, Financial Manager, Corporate Finance -
Management
Financial Manager
About The Company
Zehnder Group, a Swiss-based leader in indoor climate solutions, employs approximately 4,000 associates across various entities worldwide. The Zehnder name stands for world‑leading indoor climate solutions. In North America, we operate two business segments:
Ventilation and Heating & Cooling. These include multiple independently operating entities across various locations in North America, including Haverhill, MA;
Buffalo, NY;
Hampton, NH;
London, Ontario;
Vancouver, BC; and other locations.
We are seeking an exceptional and strategic Head of Finance to join the leadership team at Zehnder North America. As a trusted partner to the President of North America and a key member of the regional leadership team, this individual will provide financial leadership and guidance to drive sustainable growth, operational efficiency, and long‑term success. The Head of Finance will oversee all financial activities across North America, including budget planning, long‑range financial strategy, and financial reporting, while ensuring alignment with the company’s global goals and values.
This role will also focus on connecting and aligning North American entities by providing leadership and guidance to site finance teams, fostering collaboration, and driving cohesive financial management.
- Serve as a strategic partner and advisor to the President of North America, contributing to the development and execution of the region’s business strategy.
- Lead the financial planning process, including annual budgets, long‑range planning, and scenario analysis, to support strategic decision‑making.
- Provide actionable insights and recommendations based on financial analysis to enhance profitability, operational performance, and growth opportunities.
- Collaborate with the global finance team to ensure alignment with corporate goals, compliance, and reporting standards.
- Oversee the preparation and presentation of monthly, quarterly, and annual financial statements and management reports for North America.
- Ensure compliance with all relevant accounting standards, regulations, and internal controls.
- Monitor financial performance against budgets, forecasts, and key performance indicators, identifying trends and variances.
- Drive continuous improvement in financial reporting processes, tools, and systems to enhance accuracy and efficiency.
- Lead and mentor the North America finance team, fostering a high‑performance culture and professional development opportunities.
- Provide guidance and support to site finance leads, ensuring alignment of processes, goals, and reporting standards across all North America entities.
- Partner with cross‑functional leaders on the North America Leadership Team to optimize financial outcomes and resource allocation.
- Develop and implement policies and procedures to strengthen internal controls and mitigate financial risks.
- Act as a thought leader and partner to operational teams, providing financial expertise in areas such as pricing, product development, and market expansion.
- Lead financial due diligence and integration efforts for potential mergers, acquisitions, or strategic partnerships.
- Serve as a key point of contact for external stakeholders, including auditors, regulatory bodies, and financial institutions.
- Connect and align financial strategies and operations across North America entities, driving synergies and ensuring best practices are shared.
- Ensure compliance with federal, state, and local tax regulations in the US and Canada, including income tax, sales tax, VAT, and transfer pricing, while aligning with the group tax strategy set by headquarters.
- Work closely with the corporate tax team at headquarters to ensure proper management and documentation of intercompany transactions and transfer pricing.
- Collaborate with external tax advisors to oversee tax filings, audits, and dispute resolutions, ensuring group‑wide compliance.
- Ensure accurate and timely tax reporting in accordance with Swiss‑listed parent company requirements.
- Develop and implement cash flow forecasting models, ensuring alignment with group cash management policies and liquidity planning set…
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