Strategic Cash Flow Forecasting Finance Manager; Hybrid
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 is seeking a Finance Manager to lead the 13-week cash forecast and support enterprise liquidity management from Morris Plains, NJ (Hybrid).
You will own the rolling forecast, partner with Treasury, Tax, HR, AR, AP, and finance teams to drive accuracy, and report variances to executives. The role demands 5+ years in FP&A or treasury, strong modeling, and advanced Excel; SAP/Power BI/Oracle experience is preferred.
This is a strong position to take on the Strategic Cash Flow Forecasting Finance Manager (Hybrid) role at Solstice.
The following opportunity is for a Strategic Cash Flow Forecasting Finance Manager (Hybrid) with Solstice.
Our group is growing, and we are hiring a Strategic Cash Flow Forecasting Finance Manager (Hybrid) in Maplewood, NJ, United States.
This opportunity is for the Strategic Cash Flow Forecasting Finance Manager (Hybrid) role at Solstice.
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