Global Cash FP&A Analyst

GE HealthCareChicago, IL
$116,160 - $174,240Onsite

About The Position

Join the GE HealthCare Global Finance team as a Cash FP&A Analyst, supporting Free Cash Flow forecasting, reporting, consolidation, and performance management across a global organization. This role provides enterprise-wide exposure to cash flow drivers in a publicly traded healthcare company. You will partner across regions and businesses, maintain the cash source of truth, and deliver insights that support executive decision-making. You will work closely with Finance, Treasury, Controllership, and business leaders to improve forecast accuracy, reporting quality, and enterprise cash performance.

Requirements

  • Bachelor's degree in Finance, Accounting, Business Administration, Economics, or related field.
  • Minimum 4 years of experience in FP&A, Finance, Controllership, Treasury, Corporate Finance, or related discipline; or FMDP graduate with 2+ years of post-program experience.
  • Excellent verbal and written communication skills, with the ability to simplify complex financial information and effectively communicate insights and recommendations to senior leadership and cross-functional stakeholders.
  • Strong analytical and critical thinking skills, with the ability to identify trends, risks, and opportunities and solve complex business problems using data-driven insights.
  • Deep understanding of cash flow, working capital, financial statements, and enterprise performance management, with the ability to connect financial outcomes to operational and business drivers.
  • Strong organizational and project management skills, with a proven track record of managing multiple priorities, meeting deadlines, driving process improvements, and enhancing reporting efficiency.
  • Ability to build strong partnerships across regions, businesses, and functions, with demonstrated success working in a collaborative, fast-paced, and global environment.

Responsibilities

  • Support monthly, quarterly, and annual Free Cash Flow forecasting and planning by assessing cash flow timing and predictability, and analyzing key business drivers, risks, and opportunities impacting cash performance.
  • Lead quarterly consolidation and review of global cash flow statements, ensuring accurate and consistent reporting across regions and businesses, performing variance analyses, and preparing executive reporting packages for leadership reviews.
  • Report global Free Cash Flow results and forecasts across businesses, segments, and regions; develop insights to improve cash generation, working capital, and cash conversion, and support management reviews and ad hoc cash performance analyses.
  • Validate cash-related performance metrics used in incentive and bonus programs and ensure consistent calculation and reporting of cash metrics.
  • Own the enterprise cash reporting database and source of truth while maintaining governance, data quality, controls, reporting infrastructure, and process effectiveness to ensure accurate, consistent, and transparent cash reporting.
  • Streamline forecasting, consolidation, reporting, and analysis processes by driving automation, standardization, and continuous improvement to enhance efficiency, quality, and scalable cash management practices.
  • Apply financial analysis and problem-solving skills to assess operational, financial, and macroeconomic impacts on Free Cash Flow and partner across Finance, Treasury, Controllership, and Operations to drive sustainable cash improvement.

Benefits

  • medical
  • dental
  • vision
  • paid time off
  • a 401(k) plan with employee and company contribution opportunities
  • life
  • disability
  • accident insurance
  • tuition reimbursement
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