Sr Finance Manager, Free Cash Flow Management

MiniMedLos Angeles, CA
$150,000 - $256,000Hybrid

About The Position

At MiniMed, you can begin a lifelong career of exploration and innovation, while helping make a difference in the lives of people living with diabetes around the globe. You'll lead with purpose, breaking down barriers to innovation for a more connected, compassionate world. About the Role We are seeking a highly analytical and strategic Senior Finance Manager, Free Cash Flow Management within the Corporate FP&A team to lead enterprise-wide cash flow forecasting, reporting, and performance management for MiniMed. This role serves as a key business partner to executive leadership, Treasury, Investor Relations, Accounting and Tax teams to gain a comprehensive understanding of the drivers of FCF, optimize working capital, and support long-term sustainable growth in free cash flow. The successful candidate will own the company’s consolidated Free Cash Flow forecast, dive deep into critical components (such as Capital expenditures), provide actionable insights into cash drivers, and influence decisions that improve capital efficiency and cash conversion cycle. We are looking for an experienced finance professional who is proactive, capable of exercising good judgment, making informed decisions and insists on the highest standards. This role requires you to work on-site at our Northridge, CA or Minneapolis, MN office at least 3 days per week.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or related field and 7+ years of progressive finance experience, including FP&A, corporate finance, treasury, or cash flow
  • Or, advanced degree in Finance, Accounting, Economics, or related field and 5+ years of progressive finance experience, including FP&A, corporate finance, treasury, or cash flow
  • 5+ years of managerial experience

Nice To Haves

  • MBA, CPA, CFA, or equivalent advanced qualification
  • Experience supporting a publicly traded multinational company
  • Strong understanding of: Financial modeling, Free Cash Flow, Working capital management, Capital expenditures and financial statement analysis
  • Demonstrated experience presenting financial insights to executive leadership
  • Strong forecasting, planning, and analytical skills
  • Proven ability to navigate complex, matrixed organizations and drive cross-functional alignments
  • Proficiency with SAP, OneStream, Excel, and automated dashboarding tools
  • Experience supporting earnings calls, investor relations, or Board reporting
  • Exposure to manufacturing, medical technology or other regulated hardware / software industry experience

Responsibilities

  • Own the global Free Cash Flow (FCF) forecasting process, including monthly, quarterly, annual operating plan and strategic planning cycles.
  • Develop and maintain comprehensive cash flow models linking operating performance, working capital, Capex, and other cash items.
  • Deliver accurate cash flow forecasts and variance analyses to and deliver insightful analyses and narratives to our CFO, CEO, and other executive team members
  • Drive continuous improvement in forecasting accuracy and cash flow visibility across business units and geographies.
  • Partner with business finance, operations, supply chain, and commercial teams to identify opportunities to improve: Accounts Receivable (DSO), Inventory turns, Accounts Payable (DPO), overall cash conversion cycle
  • Monitor working capital performance and provide actionable recommendations to improve cash flow.
  • Lead cash-focused performance reviews with functional and regional finance leaders.
  • Partner with Operations, R&D and IT organizations to evaluate capital investments and monitor capital spending.
  • Assess ROI assumptions supporting major investment decisions.
  • Track capital deployment against approved budgets and identify risks and opportunities.
  • Prepare monthly and quarterly FCF reporting packages for senior leadership.
  • Support earnings preparation, investor presentations and Board materials.
  • Develop executive-level narratives explaining cash flow performance, risks, opportunities, and outlook.
  • Support strategic initiatives including acquisitions, divestitures, restructuring programs, and transformation efforts.
  • Ensure alignment between P&L forecasts, balance sheet assumptions, and cash flow outcomes.
  • Drive automation and standardization of cash flow reporting and forecasting processes
  • Leverage financial systems and business intelligence tools to enhance cash analytics and scenario modeling
  • Develop dashboards and KPIs to improve enterprise cash visibility and accountability.

Benefits

  • competitive salary
  • flexible benefits package
  • health, dental, and vision insurance
  • Health Savings Account
  • Healthcare Flexible Spending Account
  • life insurance
  • long-term disability leave
  • dependent daycare spending account
  • incentive plans
  • 401(k) plan with company match
  • short-term disability coverage
  • paid time off and holidays
  • Employee Stock Purchase Plan
  • Employee Assistance Program
  • Non-qualified Retirement Plan Supplement
  • Capital Accumulation Plan
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