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USCAN FP&A Analyst - Cash & Working Capital

Job in Chicago, Cook County, Illinois, 60684, USA
Listing for: GE HealthCare
Full Time position
Listed on 2026-06-21
Job specializations:
  • Finance & Banking
    Financial Reporting, Financial Analyst, Corporate Finance, Financial Manager
Job Description & How to Apply Below
** Job Description Summary*
* As the USCAN FP&A Analyst - Cash & Working Capital, you will support the analysis, reporting, forecasting, and planning of total USCAN cash and working capital performance, including cash flow, collections, past dues, unbilled revenue, and related metrics.

This role plays a key part in supporting Business Operating Mechanisms (M Reviews, MOR, MFR, planning cycles) and in driving analytics, insights, and efficiencies across the full cash lifecycle.

This position reports to the USCAN Cash FP&A Leader and partners closely with the Group Cash team, USCAN FP&A team, Cash Operations, Collections 3rd party, and cross functional business stakeholders to enable informed decision making, operational discipline, and cash performance.

GE Health Care is a leading global medical technology and digital solutions innovator. Our mission is to improve lives in the moments that matter. Unlock your ambition, turn ideas into world changing realities, and join an organization where every voice makes a difference, and every difference builds a healthier world.

** Job Description*
* ** Responsibilities*
* + Develop, own, and maintain comprehensive  
** cash flow and working capital models**  (including collections, past dues, unbilled, net accruals, and cash conversion metrics) to support reporting, forecasting, planning, and analysis for total USCAN, in alignment with GEHC financial requirements.

+ Own and evolve  
** Power BI dashboards and analytics
** supporting AR Aging, Past Dues, Unbilled, and cash performance, ensuring data integrity, continuity, and actionable insights for stakeholders.

+ Drive adoption of  
** standard work, automation, and digital solutions
** across cash and working capital reporting, reducing manual effort, improving accuracy, and enhancing transparency.

+ Partner closely with  
** Cash Operations, Regional Finance teams, FP&A teams, and operational owners
** to understand key drivers, risks, and opportunities impacting cash outcomes, and to support estimates and forecasts.

+ Lead  
** planning, forecasting,
** and support  
** strategy discussions
** for cash and working capital across the USCAN business, including to quarterly forecasts, budgets, LTS, and target‑setting processes.

+ Lead and coordinate  
** closing and reporting activities
** related to cash and working capital, including quarter close, M Reviews, MOR, MFR, and other executive operating mechanisms.

+ Analyze working capital and net accrual account activity,  
** identify trends, variances, and risks** , and support accurate forecasting and reconciliation of closing entries.

+ Serve as a key point of contact for  
** cash and working capital analytics** , providing timely insights and decision support to FP&A leadership and business stakeholders.

+ Support  
** collaboration with external partners
** as applicable, to ensure data quality, process alignment, and efficient execution.

+  
** Approval of cash terms
** on customer quotes and contracts, as needed.

** Qualifications*
* + Bachelor's degree in Accounting, Finance, or Business Administration or related.

+ A minimum of  
** 5+ years of financial work experience** , including FP&A

** Desired Characteristics*
* + Strong analytical skills with the ability to  
** link financial results to operational performance drivers
** and translate data into insights

+ Clear thinking and problem‑solving capability; successfully led  
** process improvements, automation, or analytics enhancements
** within finance or operations; able to quickly grasp new ideas

+ Adaptable/Flexible: being open to change in response to new information, different or unexpected circumstances, and/or to work in ambiguous situations

+ Solid PC skills, including experience with financial systems and reporting tools (e.g., Oracle, Hyperion, Power BI or similar BI tools) and advanced Excel skills (data compilation and aggregation i.e. pivot tables, VLookup, and Macros)

+ Experience working in global business environment with sound understanding of global process and transactional flows

+ Excellent communication skills: experience working across multiple levels (including executive level), functions and regions

+…
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