Cash Flow Forecasting jobs
3 open roles for cash flow forecasting, updated continuously as employers post them.
Analyst, Strategic Finance & Corporate FP&A
Strategic finance and corporate FP&A analyst role in Sunnyvale supporting models, forecasts, board reporting and high-impact finance projects. It suits candidates with 2–3 years of banking, investing or consulting experience and strong Excel-based modeling skills.
Senior Manager, Financial Planning & Analysis (Remote)
Harbor Compliance is hiring a U.S.-remote Senior Manager of FP&A to lead forecasting, budgeting, SaaS KPI reporting, and financial modeling for a private equity-backed SaaS company. It suits an experienced finance professional with subscription-metrics, operating-model, and planning expertise.
Gerente de Finanzas - Contador
An onsite finance and accounting leadership role in Santiago covering operations, planning, controls, compliance, and team management. It is intended for candidates with at least 10 years of progressive leadership experience, ideally from consumer goods, retail, or food businesses.