Strategic Finance Manager — Cash Flow & Forecasting

Honeywell International, Inc.

Charlotte (NC)

On-site

USD 110,000 - 140,000

Full time

14 days+
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Benefits offered by this job

Comprehensive benefits package
401(k) with match
Paid time off and holidays

Job summary

Honeywell International, Inc. is seeking a highly analytical Finance Manager to drive Free Cash Flow performance, optimize working capital, and support strategic decision-making across Treasury, Controllership, Tax, and other cross-functional teams.

The ideal candidate will bring extensive experience in cash flow management, CAPEX forecasting, and balance sheet analysis, with a proven ability to present insights to senior leadership and influence financial performance.

Qualifications

  • 6+ years of experience in Finance, FP&A, Treasury, Controllership, Cash Management, or Corporate Finance.
  • Experience with Free Cash Flow management and working capital.
  • Strong analytical, communication, and stakeholder management skills.
  • Advanced Excel with financial modeling and scenario analysis.
  • Experience with CAPEX forecasting and balance sheet analysis.
  • Understanding of accounting principles and financial statement relationships.
  • Experience creating executive-level presentations and delivering insights to senior leadership

Responsibilities

  • Lead short range forecasting, monitoring, and reporting of Free Cash Flow performance.
  • Analyze and improve working capital drivers (Accounts Receivable, Inventory, Accounts Payable).
  • Identify opportunities to improve cash conversion cycle and working capital efficiency.
  • Manage CAPEX forecasting, reporting and governance.
  • Analyze balance sheet performance and provide actionable insights to leadership.
  • Partner cross-functionally to improve cash visibility, forecasting accuracy, and financial performance.
  • Develop executive-level cash flow reporting, dashboards, financial models, and presentations.
  • Support Investor Relations with cash-related insights for Earnings.
  • Drive process improvements, automation initiatives, and systems enhancements.

Skills

Analytical skills
Communication
Stakeholder management
Excel
Financial modeling
Scenario analysis
Cash flow forecasting
CAPEX analysis
Balance sheet analysis
Executive presentations

Education

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

Tools

Excel

Job description

Honeywell International, Inc. is seeking a highly analytical Finance Manager to drive Free Cash Flow performance, optimize working capital, and support strategic decision-making across Treasury, Controllership, Tax, and other cross-functional teams.

The ideal candidate will bring extensive experience in cash flow management, CAPEX forecasting, and balance sheet analysis, with a proven ability to present insights to senior leadership and influence financial performance.

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