Free Cash Flow Manager

Condé Nast

London, United Kingdom
Fully remote
Cash flow budget and forecasting
Working capital initiatives
Financial modelling
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.
  • The candidate must be organised, analytical, self-directed and adaptable in a fast-paced environment.
  • We offer a range of tools to support your wellbeing, including core hours, 10 remote days (from home or a country with a Condé Nast office location), access to our Employee Assistance Programme, corporate gym membership and cycle to work scheme.

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 modelling
  • balance sheet reporting
  • Oracle EPM & Workday

Nice-to-have

  • collaboration
  • diversity of background
  • adaptable in a fast-paced environment
  • media experience

Key Requirements

  • Qualified Chartered Accountant
  • Big 4 Accountancy Firm
  • minimum 1 year PQE
  • Advanced use of spreadsheets

Work Rights

Not specified

Tailored Resume

Cover Letter