
Senior Finance Staff Manager, Cash Flow Planning & Analysis
Switzerland Global Enterprise
full-time
Posted on:
Location Type: Office
Location: Schenectady • Massachusetts • New York • United States
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Salary
💰 $124,900 - $208,100 per year
Job Level
About the role
- Responsible for providing financial planning, analysis and reporting for Corporate, a business, or a P&L within a business
- Responsible for assessing the amount, timing, and predictability of cash-inflows and outflows as the basis for budgeting and business-planning
- Responsible for analyzing and reporting a business' operating-activities, investing-activities and financing activities for the purpose of establishing the overall (net) change in cash-flow for a defined period
- Manages a small to medium team of senior professionals
- Requires specialized depth and/or breadth of expertise within their discipline
- May require strong commercial awareness, and is expected to influence the development of strategy within own area, including control of resources and influences policy formulation
- May lead functional teams or projects with minimal resource requirements, risk, and/or complexity
- Communicates difficult concepts and may influence others' options on particular topics
- May guide others to consider a different point of view
- Impacts the team's ability to achieve service, quality and timeliness of objectives
- Work is subject to functional policy objectives
- Regularly advises management in the function and/or in the business
- High levels of evaluative judgment are required to achieve outcomes required
- Uses high level of judgment to make decisions and handle complex tasks or problems that impact the function
- Has ability to assess quality of information given and ask pertinent questions to stakeholders
- Able to offer new solutions to problems outside of set parameters and is able to construct and provide recommendations
- Uses multiple internal and some external sources outside of own function to help arrive at a decision
Requirements
- Bachelor's Degree in Accounting or Finance from an accredited University or College
- Coupled with Master's degree
- Six to 8 years of substantive experience in the Finance & Cash Flow Planning and Analysis function
- CPA desired
- Strong oral and written communication skills
- Strong interpersonal and leadership skills
- Demonstrated ability to analyze and resolve problems
- Demonstrated ability to lead programs / projects
Benefits
- medical, dental, vision, and prescription drug coverage
- access to Health Coach from GE Vernova, a 24/7 nurse-based resource
- access to the Employee Assistance Program, providing 24/7 confidential assessment, counseling and referral services
- GE Vernova Retirement Savings Plan, a tax-advantaged 401(k) savings opportunity with company matching contributions and company retirement contributions
- access to Fidelity resources and financial planning consultants
- tuition assistance
- adoption assistance
- paid parental leave
- disability benefits
- life insurance
- 12 paid holidays
- permissive time off
Applicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills & Tools
financial planningfinancial analysisreportingbudgetingcash flow analysisoperating activities analysisinvesting activities analysisfinancing activities analysisproblem resolutionproject management
Soft Skills
commercial awarenessinfluencingcommunicationleadershipinterpersonal skillsevaluative judgmentdecision makingsolution-oriented thinkingteam managementstakeholder engagement
Certifications
Bachelor's Degree in AccountingBachelor's Degree in FinanceMaster's DegreeCPA