Supports forecast build up and financial analysis related to Balance Sheet and Working Capital activities for select Divisions within the Sector. Gathers, consolidates, and analyzes financial data across key areas such as collections, disbursements, accounts receivable, contract assets, contract liabilities, and accounts payable. Develops and maintains monthly Cash Flow models and supports the end-to-end process from data collection through analysis and reporting. Provides insights into trends and variances to support financial planning and business decisions.
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Job Type
Full-time
Career Level
Mid Level