Strategic Cash Flow Forecasting Manager | Hybrid
Listed on 2026-10-06
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Management
Financial Manager -
Finance & Banking
Financial Manager, Corporate Finance
Solstice Advanced Materials is seeking a Finance Manager to lead the 13-week cash forecast and support liquidity management across the enterprise. You will partner with Treasury, Tax, Payroll, A/R, A/P, and finance teams to deliver accurate cash flow insights and drive forecasting accuracy.
The role combines strong financial analysis with stakeholder influence to identify risks and opportunities, supporting executive decision-making and working capital optimization in a hybrid environment.
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Step into the Strategic Cash Flow Forecasting Manager | Hybrid role at Solstice in Scotch Plains, NJ, United States and grow with us.
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