Sr Manager Finance

McKessonRichmond, VA
$108,400 - $180,600Remote

About The Position

Free Cash Flow & Working Capital Management is a key member of the McKesson Medical-Surgical Finance organization. This role is responsible for driving enterprise free cash flow performance through ownership of cash flow forecasting, working capital optimization, and strategic cash management initiatives. The position partners closely with Commercial, Operations, Supply Chain, Accounting, Treasury, Procurement, and Executive Leadership teams to improve cash conversion, optimize inventory and receivables performance, and deliver sustainable cash flow generation. This role will lead the development of cash flow reporting, forecasting, and analytics, ensuring visibility to key drivers, risks, opportunities, and mitigation strategies. The Director will provide executive-level insights and recommendations that enable informed business decisions and support organizational financial objectives, including separation readiness and public-company level performance management.

Requirements

  • Bachelor's Degree in Finance, Accounting, Economics, or related field required; MBA preferred.
  • 5+ years of progressive finance, treasury, FP&A, or working capital management experience.
  • 5+ years of leadership experience managing teams and cross-functional initiatives.
  • Demonstrated experience leading enterprise cash flow forecasting and working capital improvement programs.
  • Strong understanding of financial statements, including P&L, Balance Sheet, Cash Flow Statement, and Free Cash Flow metrics.
  • Proven ability to influence executive leadership and drive organizational change.
  • Experience developing executive-level presentations and communicating complex financial concepts to senior leaders.
  • Advanced financial modeling, forecasting, and analytical capabilities.

Nice To Haves

  • Expertise in free cash flow management, working capital optimization, and cash conversion cycle improvement.
  • Strong knowledge of accounts receivable, inventory management, accounts payable, and balance sheet analytics.
  • Ability to identify operational drivers of cash performance and translate findings into actionable recommendations.
  • Experience managing large-scale transformation, productivity, or cash improvement initiatives.
  • Strong executive presence with exceptional verbal and written communication skills.
  • Ability to manage multiple priorities in a fast-paced environment.
  • Data-driven mindset with strong problem-solving capabilities.
  • Demonstrated ability to challenge conventional thinking and drive process improvements.
  • Strong business partnership skills and experience working across Finance, Commercial, Operations, and Supply Chain organizations.
  • Results-oriented leader with a strong sense of ownership, urgency, and accountability.

Responsibilities

  • Lead the development, management, and continuous improvement of monthly, quarterly, and annual free cash flow forecasts.
  • Own enterprise cash flow reporting, including executive dashboards, variance analyses, key performance indicators, and predictive analytics.
  • Identify, quantify, and track free cash flow risks and opportunities across the organization.
  • Provide executive leadership with actionable recommendations to improve cash generation and working capital performance.
  • Lead initiatives to improve working capital performance across accounts receivable, inventory, accounts payable, and other balance sheet components.
  • Partner with Commercial, Supply Chain, Operations, Procurement, and Customer Financial Services teams to optimize cash conversion cycle performance.
  • Develop and monitor key working capital metrics including DSO, DIO, DPO, inventory turns, cash conversion cycle, and operating cash flow.
  • Create action plans and accountability mechanisms to drive sustainable working capital improvements.
  • Develop scenario planning, sensitivity analyses, and financial models to assess cash flow impacts of business decisions and operational changes.
  • Analyze trends and drivers impacting operating cash flow and working capital performance.
  • Support annual budget, forecast, and long-range planning processes with a focus on cash flow and balance sheet implications.
  • Ensure consistency and transparency of assumptions used throughout forecasting processes.
  • Prepare executive-level presentations and materials for Monthly Business Reviews, Quarterly Business Reviews, Board of Directors meetings, and investor-related discussions.
  • Translate complex financial and operational information into concise, actionable insights for senior leadership.
  • Collaborate with Treasury and Corporate Finance teams on liquidity planning and cash management priorities.
  • Support strategic initiatives through financial modeling and decision support.
  • Partner with Accounting to ensure accurate balance sheet reporting and cash flow statement integrity.
  • Collaborate with Supply Chain leaders to improve inventory productivity and inventory investment decisions.
  • Partner with Commercial and Customer Operations teams to improve collections processes and customer payment performance.
  • Work closely with Treasury, Corporate FP&A, and Investor Relations to align cash flow reporting and messaging.
  • Lead and develop a high-performing finance team focused on cash flow excellence and working capital management.
  • Foster a culture of accountability, continuous improvement, and operational excellence.
  • Coach and mentor team members while supporting career development and succession planning.
  • Establish goals, performance metrics, and development plans that align with organizational objectives.

Benefits

  • competitive compensation package
  • annual bonus
  • long-term incentive opportunities
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