Strategic Finance Manager: Cash Flow Forecasting
Listed on 2026-10-06
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Finance & Banking
Financial Manager, Corporate Finance, VP/Director of Finance -
Management
Financial Manager
Solstice Advanced Materials seeks a Finance Manager to own the rolling 13-week cash forecast and support liquidity management across the enterprise. You will partner with Treasury, Tax, HR, and finance teams to deliver timely insight into cash flow performance.
The role requires senior FP&A experience, strong modeling, and the ability to influence stakeholders while improving forecasting accuracy and working capital management. Hybrid work in Morris Plains, NJ.
We have an opening for a Strategic Finance Manager:
Cash Flow Forecasting in Denville, NJ, United States within Finance.
We appreciate your interest in this position.
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This posting is for the Strategic Finance Manager:
Cash Flow Forecasting role at Solstice, based in Denville, NJ, United States.
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