Strategic FP&A Analyst - Corporate Cash Forecasting

The Chemours Company

Delaware

On-site

USD 111,000 - 173,000

Full time

2 days ago
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Benefits offered by this job

Competitive Compensation
Comprehensive Benefits Packages
401(k) Match
Employee Stock Purchase Program
Tuition Reimbursement
Commuter Benefits
Learning and Development Opportunities
Strong Inclusion and Diversity Initiat

Job summary

The Chemours Company is seeking a Senior Financial Analyst to join the Finance team at the Wilmington, DE office. You will lead cash-flow forecasting, analyze variances, and drive improvements to liquidity and financial performance.

Join a global, data-driven environment where you’ll partner with Treasury and senior leadership to deliver insights, optimize processes, and support strategic decision-making across business segments.

Qualifications

  • Bachelor’s degree in accounting, Finance or related area of study.
  • 5+ years of business finance/accounting/strategic financial experience.
  • Experience owning enterprise cash forecasting and liquidity planning processes.
  • Strong understanding of GAAP financial statements (Balance Sheet, Income Statement, Cash Flows).
  • Strong understanding of non-GAAP financial KPIs (Adj. EBITDA, Free Cash Flows, Adj. Net Income).
  • Results driven, forward looking and out of the box thinking.
  • Ability to manage multiple priorities under pressure.
  • Able to identify and implement process improvements.
  • Organized, accurate and detail oriented.
  • Analytical and continuous improvement mindset.
  • Ability to work independently and in a team.
  • Desire to work in multi-cultural, global environments.
  • Strong oral, written and interpersonal skills; comfortable with leadership exposure.
  • Solid experience with Power BI, Excel, SAP and SAP Analytics tools.

Responsibilities

  • Lead monthly, quarterly, and annual cash flow forecasts for liquidity planning and strategic decisions.
  • Evaluate forecast assumptions, identify risks/opportunities, and communicate impacts to leadership.
  • Analyze actual cash performance vs forecasts and improve forecast accuracy.
  • Monitor working capital drivers: AR, AP, Inventory and other balance sheet accounts.
  • Partner with Treasury to align forecast assumptions with actual results and reporting.
  • Provide decision support through financial insights and value-added analyses.
  • Recommend operational improvements to improve liquidity and performance.
  • Enhance forecast accuracy and test cash flow assumptions by business segment.
  • Prepare ad hoc scenario analyses where applicable.
  • Build partnerships with cross-functional stakeholders for financial visibility and accountability.
  • Aid data and process refinement, and automate routine tasks.

Skills

Interpersonal skills
Analytical thinking
Independent
Multicultural mindset
Communication skills

Education

Bachelor’s degree in accounting, Finance or related area

Tools

Power BI
Excel
SAP
SAP Analytics for MS Office
SAP PCA
SAP FI
Microsoft Office

Job description

The Chemours Company is seeking a Senior Financial Analyst to join the Finance team at the Wilmington, DE office. You will lead cash-flow forecasting, analyze variances, and drive improvements to liquidity and financial performance.

Join a global, data-driven environment where you’ll partner with Treasury and senior leadership to deliver insights, optimize processes, and support strategic decision-making across business segments.

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