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Hewlett Packard Enterprise

Enterprise FPA Analyst

Hewlett Packard Enterprise

Enterprise FPA Analyst leading Free Cash Flow forecasting and reporting activities at Hewlett Packard Enterprise. Collaborating closely with Finance and business leaders to identify cash flow opportunities and risks.

Posted 7/30/2026full-timeSpring • Texas • 🇺🇸 United StatesMid-LevelSenior💰 $92,600 - $213,500 per yearWebsite

Core Competencies

Role fit
Core Competencies

Use this summary to align your resume positioning with the role.

Demonstrates expertise in Free Cash Flow forecasting, financial analysis, and corporate finance, with a strong ability to communicate complex financial insights to executive stakeholders. Proficient in developing automated reporting and analytical tools to enhance decision-making and cash flow management.

Highest-signal resume keywords
FP&ACash Flow AnalysisFinancial ModelingAdvanced Excel ProficiencyPower BI

ATS Keywords

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Applicant Tracking System Keywords

Tip: use these terms in your resume and cover letter to boost ATS matches.

Hard Skills
Free Cash Flow ForecastingVariance AnalysisFinancial Statement InterpretationData AnalysisCash Flow StatementBalance SheetIncome StatementWorking Capital OptimizationAutomationAI-Enabled Analytics
Soft Skills
Executive CommunicationPresentation SkillsInfluencing Without AuthorityAttention to Detail
Tools & Technologies
Power BIData Visualization ToolsAutomated Reporting
Industry Keywords
Corporate FinanceTreasuryAccounts ReceivableAccounts PayableCapital Expenditures

About the role

Key responsibilities & impact
  • Lead monthly, quarterly, and annual Free Cash Flow forecasting processes.
  • Analyze and explain variances to plan, forecast, and prior periods, identifying key cash flow drivers.
  • Develop actionable insights around: Accounts Receivable (Collections), Accounts Payable (Payment Timing), Inventory, Customer Deposits, Capital Expenditures, Working Capital optimization.
  • Partner with business and finance leaders to identify cash improvement opportunities and mitigate risks.
  • Support executive reviews by preparing concise, data-driven cash flow narratives and recommendations.
  • Drive forecast accuracy initiatives and continuously improve cash flow planning processes.
  • Collaborate cross-functionally to influence business decisions impacting cash generation and working capital performance.
  • Develop automated reporting, dashboards, and analytical tools to improve visibility and decision making.

Requirements

What you’ll need
  • Strong background in FP&A, Cash Flow, Treasury, Working Capital, Corporate Finance, or related areas.
  • Deep understanding of Free Cash Flow drivers and financial statements, including: Cash Flow Statement, Balance Sheet, Income Statement.
  • Advanced analytical skills with demonstrated ability to interpret large data sets and convert findings into business recommendations.
  • Strong executive communication and presentation skills, with the ability to translate complex financial concepts into clear business implications.
  • Experience leading discussions with senior stakeholders and influencing actions without direct authority.
  • Advanced proficiency in Excel and financial modeling.
  • Experience with Power BI, data visualization tools, automation, or AI-enabled analytics is highly desirable.
  • Strong attention to detail and commitment to forecast accuracy.

Benefits

Comp & perks
  • Health & Wellbeing
  • Personal & Professional Development
  • Unconditional Inclusion