GE HealthCare

GE HealthCare

Global Cash FP&A Analyst

IL03-01-Chicago-500 W Monroe St

No sponsorship$116k-$174kDetected 2 days ago
Project ManagementFinancial AnalysisAccountingForecastingFP&AProcess ImprovementPerformance ManagementLeadershipCommunicationCollaborationProblem SolvingCritical Thinking

About the role

  • Join the GE HealthCare Global Finance team as a Cash FP&A Analyst, supporting Free Cash Flow forecasting, reporting, consolidation, and performance management across a global organization.
  • This role provides enterprise-wide exposure to cash flow drivers in a publicly traded healthcare company.
  • You will work closely with Finance, Treasury, Controllership, and business leaders to improve forecast accuracy, reporting quality, and enterprise cash performance.

Responsibilities

  • Quarter-End Close & Cash Flow Statement Consolidation: Lead quarterly consolidation and review of global cash flow statements, ensuring accurate and consistent reporting across regions and businesses, performing variance analyses, and preparing executive reporting packages for leadership reviews.
  • develop insights to improve cash generation, working capital, and cash conversion, and support management reviews and ad hoc cash performance analyses.
  • Cash Governance & Source of Truth Ownership: Own the enterprise cash reporting database and source of truth while maintaining governance, data quality, controls, reporting infrastructure, and process effectiveness to ensure accurate, consistent, and transparent cash reporting.
  • Problem Solving & Strategic Analysis: Apply financial analysis and problem-solving skills to assess operational, financial, and macroeconomic impacts on Free Cash Flow and partner across Finance, Treasury, Controllership, and Operations to drive sustainable cash improvement.
  • Enterprise Cash Reporting & Analytics: Report global Free Cash Flow results and forecasts across businesses, segments, and regions; develop insights to improve cash generation, working capital, and cash conversion, and support management reviews and ad hoc cash performance analyses.
  • The Cash FP&A Analyst will support global Free Cash Flow forecasting, reporting, consolidation, and analytics while partnering across Finance, Treasury, Controllership, and business teams.
  • Report global Free Cash Flow results and forecasts across businesses, segments, and regions; develop insights to improve cash generation, working capital, and cash conversion, and support management reviews and ad hoc cash performance analyses.
  • Ability to build strong partnerships across regions, businesses, and functions, with demonstrated success working in a collaborative, fast-paced, and global environment.

Requirements

  • Bachelor's degree in Finance, Accounting, Business Administration, Economics, or related field.
  • Minimum 4 years of experience in FP&A, Finance, Controllership, Treasury, Corporate Finance, or related discipline
  • or FMDP graduate with 2+ years of post-program experience.
  • Analytical Excellence: Strong analytical and critical thinking skills, with the ability to identify trends, risks, and opportunities and solve complex business problems using data-driven insights.
  • Strong analytical and critical thinking skills, with the ability to identify trends, risks, and opportunities and solve complex business problems using data-driven insights.
  • Deep understanding of cash flow, working capital, financial statements, and enterprise performance management, with the ability to connect financial outcomes to operational and business drivers.

Compensation

  • Free Cash Flow Forecasting & Planning: Support monthly, quarterly, and annual Free Cash Flow forecasting and planning by assessing cash flow timing and predictability, and analyzing key business drivers, risks, and opportunities impacting cash performance.
  • We will not sponsor individuals for employment visas, now or in the future, for this job opening.For U.S. based positions only, the pay range for this position is $116,160.00-$174,240.00 Annual.
  • It is not typical for an individual to be hired at or near the top of the pay range and compensation decisions are dependent on the facts and circumstances of each case.

Benefits

  • Validate cash-related performance metrics used in incentive and bonus programs and ensure consistent calculation and reporting of cash metrics.
  • In addition, this position may also be eligible to earn performance based incentive compensation, which may include cash bonus(es) and/or long term incentives (LTI).
  • GE HealthCare offers a great work environment, professional development, challenging careers, and competitive compensation.
  • GE HealthCare is an
  • GE HealthCare will only employ those who are legally authorized to work in the United States for this opening.
  • While GE HealthCare does not currently require U.S. employees to be vaccinated against COVID-19, some GE HealthCare customers have vaccination mandates that may apply to certain GE HealthCare employees.

Equal opportunity

  • GE HealthCare is an Equal Opportunity Employer.
  • Employment decisions are made without regard to race, color, religion, national or ethnic origin, sex, sexual orientation, gender identity or expression, age, disability, protected veteran status or other characteristics protected by law.
  • Equal Opportunity Employer.

Visa & Work Authorization

  • GE HealthCare will only employ those who are legally authorized to work in the United States for this opening.

This listing is sourced directly from GE HealthCare's careers page and normalized into a canonical job model.