Finance Analyst - Working Capital & Free Cash Flow at Honeywell
Charlotte, North Carolina, United States -
Full Time


Start Date

Immediate

Expiry Date

14 Aug, 26

Salary

0.0

Posted On

16 May, 26

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Modeling, Forecasting, Working Capital Management, Cash Flow Analysis, Collections Analytics, Financial Reporting, SAP, Excel, Data Analysis, Compliance Standards, S4 Transformation, Risk Management

Industry

Automation Machinery Manufacturing

Description
As a Finance Analyst – Working Capital & Free Cash Flow supporting the S4 transformation at Honeywell, you will play a key role in aggregating forecasts, analyzing cash drivers, and providing transparency into working capital and free cash flow performance across the S4 scope.   You will report to the Sr Director, Data Analytics and partner closely with Finance, CX, Collections, Sales, and Data teams. This role is dedicated primarily to the S4 program.   KEY RESPONSIBILITIES * Aggregate working capital and free cash flow forecasts across finance and business stakeholders * Analyze cash flow plans, identifying risks and opportunities * Participate in cash calls and escalation forums to support collections and cash visibility * Partner with CX, Collections, and Sales to drive process improvements and manage forecast risks * Support Fit‑to‑Standard, testing, and deployment activities related to WC and cash reporting * Monitor actuals vs. forecast during hyper care and stabilization Honeywell helps organizations solve the world's most complex challenges in automation, the future of aviation and energy transition. As a trusted partner, we provide actionable solutions and innovation through our Aerospace Technologies, Building Automation, Energy and Sustainability Solutions, and Industrial Automation business segments – powered by our Honeywell Forge software – that help make the world smarter, safer and more sustainable.
Responsibilities
The role focuses on aggregating working capital and free cash flow forecasts to provide transparency into performance during the S4 transformation. Key duties include analyzing cash drivers, identifying risks, and partnering with cross-functional teams to drive process improvements.
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