Senior FP&A Analyst - Cash Flow & Liquidity Strategy
Listed on 2026-10-07
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Finance & Banking
Financial Analyst, Financial Reporting, Senior Financial Analyst
Chemours is seeking a Finance Senior Manager to lead cash flow forecasting, liquidity planning, and analytics at the NA-US Wilmington Office in Wilmington, DE. You will partner with Treasury, drive variance analysis, and improve working capital metrics while guiding cross-functional teams.
The role requires a Bachelor’s in accounting or finance, 5+ years in finance/accounting, and expertise in GAAP and non-GAAP KPIs. Strong data tooling skills (Power BI, SAP) are essential.
This role, Senior FP&A Analyst
- Cash Flow & Liquidity Strategy at Chemours International Operations Sàrl, could be your next opportunity.
We have an opening for a Senior FP&A Analyst
- Cash Flow & Liquidity Strategy in Wilmington, DE, United States within Finance.
Are you ready to take on the Senior FP&A Analyst
- Cash Flow & Liquidity Strategy role at Chemours International Operations Sàrl?
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