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The Senior Finance Manager - Cash Flow Planning & Analysis is responsible for leading all forecasting and actual reporting cycles related to the Cash Flow Statement across GE HealthCare. This role involves extensive collaboration within the finance organization-across Segments, Regions, and Functions-to manage internal processes. Additionally, it requires close partnership with the HQ finance team, including Controllership, Tax, Treasury, and Investor Relations, to ensure the accuracy of external reporting and messaging. Within the Corporate FP&A team, this role works closely with the Group Income team to provide critical inputs into the Cash Flow Statement. It also collaborates with the finance planning leader to offer input and operational context across the business's planning cycles, including WWPP, Long Term Strategy, and Budget. Given its positioning and engagement within the organization, this role demands an individual with strong communication and influencing skills.
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