Finance Manager: 13-Week Cash Flow Forecast

Solstice

Hopatcong (NJ)

Hybrid

USD 139,000 - 174,000

Full time

17 hours ago
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Benefits offered by this job

Medical Insurance
Dental Insurance
Vision Insurance
Life Insurance
Short-Term Disability
Long-Term Disability
401(k) match
Flexible Spending Accounts
Health Savings Accounts
Employee Assistance Program
Educational Assistance
Parental Leave
Paid Time Off
Paid Holidays

Job summary

Solstice Advanced Materials in Morris Plains, NJ, hybrid, seeks a Finance Manager to own the rolling 13‑week cash forecast and support enterprise liquidity management. You will partner with Treasury, Tax, Payroll, and Finance teams to deliver timely insights on cash flow performance and forecast accuracy.

The role emphasizes strong financial modeling, cross-functional influence, and proactive identification of cash flow risks and opportunities to inform executive decision‑making and working

Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, or related discipline.
  • 5+ years of experience in FP&A, treasury, cash flow forecasting, corporate finance, or working capital management.
  • Strong financial modeling, forecasting, and analytical skills.
  • Experience with SAP, Power BI, Oracle, or similar financial systems.
  • Advanced Microsoft Excel skills and experience working with large data sets.
  • Proven ability to collaborate effectively across multiple functions and influence stakeholders.
  • Strong attention to detail and ability to reconcile complex financial information.
  • Excellent communication and presentation skills.

Responsibilities

  • Own the 13-Week Cash Forecast.
  • Consolidate projected collections, disbursements, payroll, tax payments, treasury activity, and other cash flows into a unified enterprise forecast.
  • Partner with Treasury, Tax, HR, Accounts Receivable, Accounts Payable, and business finance teams to gather forecast assumptions and ensure accuracy.
  • Identify key drivers of cash flow performance and communicate risks and opportunities to leadership.
  • Drive continuous improvement of forecasting methodologies, processes, and reporting tools.
  • Lead forecasting and analysis of corporate and headquarters cash activity.
  • Monitor and forecast headquarters operating expenses, payroll, tax obligations, and other corporate cash flows.
  • Analyze forecast versus actual performance and prepare executive-level variance explanations.
  • Support Treasury and Corporate Finance with liquidity planning, cash optimization initiatives, and management reporting.

Skills

Forecasting
Financial analysis
Cross-functional collaboration
Stakeholder influence
Attention to detail
Communication & presentation

Education

Bachelor's degree in Finance, Accounting, Economics, or related discipline

Tools

SAP
Power BI
Oracle

Job description

Solstice Advanced Materials in Morris Plains, NJ, hybrid, seeks a Finance Manager to own the rolling 13‑week cash forecast and support enterprise liquidity management. You will partner with Treasury, Tax, Payroll, and Finance teams to deliver timely insights on cash flow performance and forecast accuracy.

The role emphasizes strong financial modeling, cross-functional influence, and proactive identification of cash flow risks and opportunities to inform executive decision‑making and working

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