Finance Manager (free Cash Flow)

Condé Nast

London, United Kingdom
Not specified; benefits: 25 days holiday + bank ho...
Fully remote
Global free cash flow budgeting and forecasting
Balance sheet forecasting and analysis
Integrated financial modeling p&l balance sheet cash flow
The role involves consolidating and reporting global free cash flow budgets and quarterly forecasts to senior management

Job Summary

  • The role involves consolidating and reporting global free cash flow budgets and quarterly forecasts to senior management.
  • Candidates will drive cross-functional initiatives to improve working capital performance and support structural improvements.
  • The company offers competitive benefits including 25 days holiday, private healthcare, and access to the Condé Nast Learning Hub.

Matching Summary

The role involves consolidating and reporting global free cash flow budgets and quarterly forecasts to senior management.

Salary

Not specified; Benefits: 25 days holiday plus bank holidays; Pension scheme; Bupa Private Healthcare

Skills & Requirements

Must-have

  • Global free cash flow budgeting and forecasting
  • Balance sheet forecasting and analysis
  • Integrated financial modeling P&L balance sheet cash flow
  • Working capital optimization initiatives
  • Oracle EPM and Workday system usage

Nice-to-have

  • Big 4 accountancy firm background preferred
  • Media industry experience desirable
  • Strong stakeholder management skills
  • Proactive approach to challenges
  • Ability to work under pressure

Key Requirements

  • Qualified Chartered Accountant (ACA/ACCA/CIMA)
  • Minimum 1 year post-qualifying experience
  • Experience in large multinational environment
  • Advanced Excel and spreadsheet skills

Work Rights

Not specified

Tailored Resume

Cover Letter