Hybrid Lead Finance Specialist – Cash Flow Planning & Analysis

Posted 6 days ago

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About the role

  • Lead Finance Specialist managing cash flow planning and analysis for GE Vernova in Gas Power. Focusing on cash performance, operational actions, and financial reporting.

Responsibilities

  • Lead end‑to‑end cash performance management for the New Units (NU) Gas Power portfolio
  • Drive a disciplined cash operating cadence, including weekly/monthly reviews, variance analysis, and risk & opportunity tracking
  • Drive operational actions to improve cash outcomes
  • Implement operating mechanisms and create visibility to the right cash metrics to drive improvement in past dues, paid-on-time %, Past Dues and billing linearity
  • Lead the development, implementation and measurement of financial planning and estimating process accuracy
  • Work with global cash counterparts to develop global standards and drive financial process harmonization and optimization
  • Drive systems improvements, automation, and ERP/general ledger design for accurate and timely reporting
  • Support senior leadership reporting with high‑quality cash analytics and executive‑level narratives
  • Support key finance priorities and transformation initiatives

Requirements

  • Bachelor’s degree from an accredited university/college in Accounting, Finance or relevant discipline
  • Significant experience in FP&A, Operational Finance
  • Strong experience in finance leadership roles
  • Fluent English knowledge is essential
  • Strong analytical, project management and organizational skills
  • Proficient oral and written communication skills

Benefits

  • Bonus eligibility: annual bonus

Job title

Lead Finance Specialist – Cash Flow Planning & Analysis

Job type

Experience level

Senior

Salary

$95,300 - $158,700 per year

Degree requirement

Bachelor's Degree

Tech skills

Location requirements

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