Cash FP&A Analyst

Posted 7 days ago
$116.16K - $174.24K / year

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Job Description

Global Cash FP&A Analyst | GE HealthCare

The Tone:
This is a full-time role at GE HealthCare, located in the U.S. The company is a publicly traded healthcare organization with a global presence. This role is crucial for strengthening the company’s cash performance management through accurate reporting, actionable insights, and process improvement across the enterprise. You will support executive decision-making by maintaining the cash source of truth and delivering valuable financial insights.

The TL;DR
• Role: Early Career
• Type: Full-time
• Location: U.S.-based
• Pay: $116160–$174240 yearly
• Team: Global Finance team, partnering across Finance, Treasury, Controllership, and business teams.
• Mission: Strengthen cash performance management through accurate reporting, actionable insights, process improvement, and strong governance over enterprise cash data.

What You’ll Actually Do
• Forecasting: Support monthly, quarterly, and annual Free Cash Flow forecasting and planning by assessing cash flow timing and analyzing key business drivers, risks, and opportunities.
• Consolidation: Lead the quarterly consolidation and review of global cash flow statements, ensuring accurate reporting and preparing executive reporting packages.
• Reporting: Report global Free Cash Flow results and forecasts across businesses and regions, developing insights to improve cash generation, working capital, and cash conversion.
• Governance: Own the enterprise cash reporting database and source of truth, maintaining governance, data quality, controls, and reporting infrastructure.
• Improvement: Streamline forecasting, consolidation, reporting, and analysis processes by driving automation, standardization, and continuous improvement for scalable cash management practices.

The Must-Haves
• Background: Bachelor’s degree in Finance, Accounting, Business Administration, Economics, or a related field.
• Experience: Minimum 4 years in FP&A, Finance, Controllership, Treasury, Corporate Finance, or a related discipline; or FMDP graduate with 2+ years of post-program experience.
• Skills: Strong analytical and critical thinking skills, deep understanding of cash flow, working capital, and financial statements, excellent verbal and written communication skills, and strong organizational and project management abilities.
• Bonus: Proven ability to build strong partnerships across regions, businesses, and functions, demonstrating success in a collaborative, global environment.

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