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Senior Finance Manager – GE Aviation Cashflow Planning & Analysis

Full Time

Location:
West Chester, Ohio, United States of America

About GE Aerospace

GE Aerospace is a world-leading provider of jet and turboprop engines, as well as integrated systems for commercial, military, business, and general aviation aircraft.

Job Description Summary

Whether you want to work at one of our facilities as the site leader's right hand helping to make business decisions or at headquarters on a larger finance team, we have an opportunity for you. You’ll get to work with budgets of various sizes and complexities, while collaborating with others. Our finance and accounting teams span the globe, providing unmatched learning, development, and career growth opportunities.

Responsible for providing financial planning, analysis and reporting for Commercial Engine Operation (CEO), a division within GE Aviation. This role supports 11 product lines across CEO business with close interactions with CEO senior executive leaders.

Job Description

Roles and Responsibilities

  • Responsible for assessing the amount, timing, and predictability of cash-inflows and outflows as the basis for budgeting and business-planning.
  • Responsible for analyzing and reporting a business' operating-activities, investing-activities and financing activities for the purpose of establishing the overall (net) change in cash-flow for a defined period.
  • Responsible for monthly closing, posting, reporting and reconciliation of CFAs and P&E cashflow for all CEO product line.
  • Lead Cash forecasting for all planning cycles - quarter estimates, MOR, Quarterly Ops Review, Strategy and Budget planning.
  • Share best practices across Product Lines and drive standard work and continuous improvements in CEO cash management (Lean).
  • Regularly offer guidance and solutions to Leadership team on operational drivers impacting Cash.

Required Qualifications

  • Bachelor degree in Finance or Accounting from an accredited university or college
  • At least 6 years of experience in Financial Planning & Analysis or Controllership.
  • Excellent communication skills, both written and verbal, with the ability to effectively convey complex financial information to stakeholders.

Desired Characteristics

  • Cash subject matter expert with in depth understanding of operational drivers impacting Cashflow.
  • Strong Lean practitioner and passionate in driving continuous improvements and reduce wastes
  • Ability to communicate difficult concepts and guide others' alignment
  • Able to impact team's ability to achieve service, quality and meeting deadlines
  • Uses high level of judgment to make decisions and handle complex tasks
  • Ability to assess quality of information given and ask pertinent questions

Additional Job Description