Abbott is a global healthcare leader that helps people live more fully at all stages of life. Our portfolio of life-changing technologies spans the spectrum of healthcare, with leading businesses and products in diagnostics, medical devices, nutritionals and branded generic medicines. Our 115,000 colleagues serve people in more than 160 countries. JOB DESCRIPTION: About Abbott Diagnostics Diagnostic testing is a compass, providing information that helps in the prevention, diagnosis and treatment of a range of health conditions. Abbott’s life-changing tests and diagnostic tools give you accurate, timely information to better manage your health. We’re empowering smarter medical and economic decision-making to help transform the way people manage their health at all stages of life. Every day, more than 10 million tests are run on Abbott’s diagnostics instruments, providing lab results for millions of people. Position Summary: Abbott’s Core Diagnostic Division has a new opening for Manager, Division Financial Planning & OEM, serving as a strategic finance leader responsible for driving the division’s long-range planning process (OEM: Organic Execution Model) and overseeing comprehensive financial planning and analysis activities for Cash Flow. This role partners closely with executive leadership and cross-functional teams to deliver robust, data-driven insights that shape the division’s strategic direction. What You'll Work On: OEM Leadership: Lead the development, coordination, and delivery of the division’s OEM (Organic Execution Model, a.k.a. Long-Range Financial Plan), ensuring alignment with corporate objectives and market dynamics. Drive scenario planning, sensitivity analysis, and risk/opportunity assessments to support strategic decision-making. Facilitate cross-functional collaboration across Finance, Operations, Commercial, and R&D to ensure OEM assumptions are comprehensive and achievable. Financial Planning & Analysis Lead the division’s financial planning processes, including annual plan, LBEs, and strategic forecasts, with a strong focus on Cash Flow and Balance Sheet management. Drive monthly and quarterly Cash Flow and Balance Sheet reviews with business unit controllers, ensuring accuracy, integrity, and alignment with corporate objectives. Provide actionable insights and recommendations to optimize working capital, and capital expenditures. Ensure robust governance and controls around forecasting assumptions and reporting processes. Executive Reporting & Presentations: Develop and deliver high-impact presentations for senior management and corporate leadership, including OEM, competitor analysis, and strategic updates. Ensure all analyses are comprehensive, data-driven, and aligned with business priorities. Leadership & Governance: Establish and maintain robust planning processes, timelines, and governance frameworks. Mentor and develop team members, fostering a culture of accountability and continuous improvement.
Stand Out From the Crowd
Upload your resume and get instant feedback on how well it matches this job.
Job Type
Full-time
Career Level
Manager