The Free Cash Flow Manager will be responsible for cash flow budget and forecasting activities, including partnering with our market finance teams to improve forecasting accuracy
Job Summary
The Free Cash Flow Manager will be responsible for cash flow budget and forecasting activities, including partnering with our market finance teams to improve forecasting accuracy.
Drive cross-functional initiatives to improve working capital performance and support implementation of structural improvements.
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Matching Summary
The Free Cash Flow Manager will be responsible for cash flow budget and forecasting activities, including partnering with our market finance teams to improve forecasting accuracy.
Skills & Requirements
Must-have
cash flow budget and forecasting
working capital initiatives
financial insights into actionable strategies
global free cash flow budget and quarterly forecasts
balance sheet forecasts and challenge assumptions
improve free cash flow forecasting
driver based forecasting
risks and opportunities impacting cash flow
improve working capital performance
consolidated cash flow report
ad hoc balance sheet analysis
Nice-to-have
adaptable in a fast-paced environment
media experience preferable
Key Requirements
Qualified accountant (ACA strongly preferred)
minimum 1 year PQE
Advanced use of spreadsheets
prior exposure to financial systems
Technically strong accountant
balance sheet reporting & forecasting experience
financial modelling with high accuracy
Previous experience in working capital optimisation