[YOUR NAME] International Finance Manager | CPA Contact: [Email] | [Phone] | [City, State] | [LinkedIn Profile] ================================================================================ PROFESSIONAL SUMMARY International Finance Manager with [X] years of experience managing financial operations across multiple countries and currencies. Expertise in foreign exchange risk management, transfer pricing, international tax compliance, and multi-country financial reporting. Proven ability navigating complex regulatory environments, coordinating with international teams, and supporting global business expansion while ensuring compliance with local and international accounting standards. ================================================================================ CORE COMPETENCIES Multi-Country Financial Management Foreign Exchange (FX) Management International Tax Transfer Pricing Global Financial Reporting (IFRS/GAAP) Treasury Management Cross-Border Transactions Statutory Reporting & Compliance Global Expansion Support Currency Risk Management International Audit Coordination ERP Systems (Multi-Entity) Regional Team Leadership Intercompany Reconciliation Business Partnership ================================================================================ PROFESSIONAL EXPERIENCE INTERNATIONAL FINANCE MANAGER [Company Name] | [City, State/Country] | [Year] – Present Multi-Country Financial Operations • Oversee financial operations for [X] countries across [regions] generating $[X]M revenue • Manage consolidation of financial results from [X] international subsidiaries • Ensure compliance with local accounting standards, tax regulations, and reporting requirements • Coordinate with country finance managers providing guidance on policies and procedures • Navigate complex regulatory environments across different jurisdictions • Support international expansion into [X] new markets providing financial infrastructure Financial Reporting & Consolidation • Prepare consolidated financial statements under US GAAP with IFRS reconciliation • Manage month-end close process for international entities ensuring timely reporting • Coordinate with country teams on local statutory financial statement preparation • Implement standardized reporting templates across all international locations • Analyze inter-company transactions and elimination entries for consolidation • Reduced consolidation close time from [X] days to [X] days through process improvements Foreign Exchange Management • Develop and execute FX hedging strategies protecting margins from currency volatility • Manage portfolio of FX forward contracts covering forecasted exposures totaling $[X]M • Monitor currency movements and assess impact on financial results • Reduced FX transaction losses by [X]% through proactive hedging program • Coordinate with treasury on optimal currency positioning and cash repatriation strategies • Prepare FX exposure reports and recommendations for CFO and executive team Transfer Pricing & Tax Compliance • Establish transfer pricing policies for intercompany transactions ensuring compliance • Coordinate with tax advisors on transfer pricing documentation and country-by-country reporting • Support international tax planning initiatives optimizing effective tax rate • Manage VAT/GST compliance across multiple jurisdictions • Coordinate with local tax authorities on audits and inquiries • Ensure compliance with OECD guidelines and local transfer pricing regulations Treasury & Cash Management • Manage global cash positioning and intercompany funding arrangements • Optimize working capital across international entities minimizing trapped cash • Coordinate with banks on international payment processes and banking relationships • Establish cash pooling structures improving liquidity management • Monitor foreign currency exposures and implement hedging strategies International Expansion Support • Provide financial infrastructure and support for entry into new international markets • Establish local accounting systems and processes for new country operations • Coordinate entity setup including banking, ERP implementation, and controls • Develop financial projections and business cases for international expansion • Support M&A due diligence for international acquisitions Systems & Process Standardization • Implement global ERP system (SAP) across [X] countries standardizing processes • Establish global chart of accounts and reporting standards • Automate intercompany reconciliation processes reducing manual effort [X] hours monthly • Design global reporting dashboards providing real-time visibility across all countries Regional Team Leadership & Collaboration • Lead team of [X] finance professionals across multiple countries and time zones • Coordinate with regional finance managers ensuring alignment on policies and practices • Conduct regular meetings with country finance teams addressing issues and sharing best practices • Provide training and support to international finance staff • Foster collaborative culture across geographically dispersed team Audit & Compliance Coordination • Coordinate international audit process with external auditors across all locations • Ensure compliance with local statutory audit requirements in each country • Manage relationships with local audit firms and coordinate with group auditors • Prepare consolidated audit package and supporting schedules • Address audit findings and implement recommended improvements FINANCE MANAGER [Previous Company Name] | [City, State] | [Year] – [Year] • Managed financial operations for [X] international locations • Prepared consolidated financial statements and management reports • Supported international expansion into [X] new countries • Implemented FX hedging program reducing currency losses [X]% • Coordinated with local finance teams on reporting and compliance • Led implementation of global financial systems and processes SENIOR FINANCIAL ANALYST [Earlier Company Name] | [City, State] | [Year] – [Year] • Performed financial analysis supporting international operations • Assisted with consolidation and intercompany eliminations • Analyzed FX exposures and prepared hedging recommendations • Supported budgeting and forecasting for international entities • Prepared management reports and variance analysis ================================================================================ EDUCATION Bachelor of Science in [Accounting/Finance/International Business] [University Name] | [City, State] | [Year] [Study abroad or international program if applicable] ================================================================================ CERTIFICATIONS Certified Public Accountant (CPA) | [State] | [Year] [Additional international certifications: ACCA, CA, etc. if applicable] ================================================================================ TECHNICAL SKILLS ERP Systems: SAP (Multi-entity, multi-currency), Oracle Global, NetSuite OneWorld Treasury: FX trading platforms, Bloomberg Terminal, Reuters Consolidation: SAP BPC, Oracle HFM, OneStream, BlackLine Tax & Compliance: ONESOURCE, Avalara, Thomson Reuters ONESOURCE Transfer Pricing Other: Advanced Excel, Tableau, Power BI ================================================================================ LANGUAGES English: Native/Fluent [Additional languages and proficiency levels] ================================================================================ PROFESSIONAL AFFILIATIONS • International Finance Executives (IFE) • American Institute of CPAs (AICPA) • [Regional professional organizations] ================================================================================ INTERNATIONAL EXPERIENCE Countries Managed: [List key countries/regions] Currencies Managed: USD, EUR, GBP, [other currencies] Accounting Standards: US GAAP, IFRS, [local GAAP]