Finance Manager

HoneywellCharlotte, NC

About The Position

Honeywell is seeking a highly analytical and business-oriented Finance Manager – Cash to drive Free Cash Flow performance, working capital, and support strategic decision-making. This role partners closely with Treasury, Controllership, Operations, Procurement, and Commercial teams to improve cash generation, strengthen balance sheet performance, and enhance forecasting and reporting capabilities. The ideal candidate brings strong financial acumen, advanced analytical skills, and experience managing cash flow, working capital, capital expenditures, and financial performance in a complex business environment.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field.
  • 5+ years of experience in Finance, FP&A, Treasury, Controllership, Cash Management, or Corporate Finance.
  • Proven experience with Free Cash Flow, working capital management, cash flow forecasting, CAPEX, and balance sheet analysis.
  • Strong understanding of accounting principles and financial statement relationships.
  • Advanced Excel skills, including financial modeling and scenario analysis.
  • Strong analytical, communication, and stakeholder management skills.
  • Experience creating executive-level presentations and delivering insights to senior leadership.

Nice To Haves

  • Improve visibility and predictability of cash flow performance.
  • Drive measurable working capital improvements.
  • Strengthen CAPEX governance and forecasting accuracy.
  • Deliver actionable insights that improve Free Cash Flow generation.
  • Build strong partnerships across Finance and Operations to foster a cash-focused culture.

Responsibilities

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