Finance Manager, Cash Flow & Forecasting

Solstice Advanced MaterialsMorris Plains, NJ
$138,745 - $174,019

About The Position

Solstice is seeking a highly motivated Finance Manager to lead the company's short-term cash forecasting process and support enterprise liquidity management. This high-visibility role serves as the owner of Solstice's rolling 13-week cash forecast and partners extensively with Treasury, Tax, Payroll, Accounts Receivable, Accounts Payable, and Finance teams to provide timely and accurate insight into cash flow performance. The ideal candidate combines strong financial analysis capabilities with the ability to influence cross-functional stakeholders, identify cash flow risks and opportunities, and drive forecasting accuracy. This role is critical to supporting executive decision-making, liquidity planning, and working capital management across the enterprise. About Solstice Advanced Materials Solstice Advanced Materials is a leading global specialty materials company that advances science for smarter outcomes. Solstice offers high-performance solutions that enable critical industries and applications, including refrigerants, semiconductor manufacturing, data center cooling, nuclear power, protective fibers, healthcare packaging and more. Solstice is recognized for developing next-generation materials through some of the industry's most renowned brands such as Solstice®, Genetron®, Aclar®, Spectra®, Fluka™, and Hydranal™. Partnering with over 3,000 customers across more than 120 countries and territories and supported by a robust portfolio of over 5,700 patents, Solstice’s approximately 4,000 employees worldwide drive innovation in materials science. For more information, visit Advanced Materials [https://advancedmaterials.honeywell.com/us/en].

Requirements

  • Strong financial analysis capabilities
  • Ability to influence cross-functional stakeholders
  • Ability to identify cash flow risks and opportunities
  • Ability to drive forecasting accuracy

Responsibilities

  • Lead the company's short-term cash forecasting process.
  • Support enterprise liquidity management.
  • Serve as the owner of Solstice's rolling 13-week cash forecast.
  • Partner extensively with Treasury, Tax, Payroll, Accounts Receivable, Accounts Payable, and Finance teams to provide timely and accurate insight into cash flow performance.
  • Combine strong financial analysis capabilities with the ability to influence cross-functional stakeholders.
  • Identify cash flow risks and opportunities.
  • Drive forecasting accuracy.
  • Support executive decision-making, liquidity planning, and working capital management across the enterprise.
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