Senior Finance Manager - Cash Flow Forecasting, Corporate FP&A

Amazon
Seattle, WA
Category Finance
Job Description
Role Overview

We're looking for a strategic finance leader who thrives at the intersection of financial analysis, executive storytelling, and technical innovation. In this role, you'll lead the forecasting cycles that synthesize inputs from across all of Amazon, drive the multi-year transformation to fully automate these capabilities, and partner with Treasury, Tax, Accounting, and M&A to create a unified view of Amazon's cash generation.

What You Will Do

You'll lead the end-to-end production of Amazon's enterprise free cash flow forecast, drive the technical roadmap and product strategy to automate free cash flow forecasting and reporting, and provide strategic management and align your team to deliver high-quality financial analysis.

Why It Might Be a Fit

This role is for someone who's energized by high-visibility challenges, cross-functional collaboration, and the chance to leave a lasting mark on how Amazon forecasts and manages cash. You'll have the opportunity to build and maintain cross-functional partnerships, develop and grow a high-performing team, and drive innovation in financial analysis and reporting.

Requirements

  • 12+ years of tax, finance or a related analytical field experience
  • 7+ years of directly managing and leading a team of 10+ members experience
  • Bachelor's degree in finance, accounting or related field
  • Experience presenting financial analysis to executive leadership (VP+)
  • Experience building or improving financial forecasting models and reporting infrastructure

Benefits

  • health insurance (medical, dental, vision, prescription, Basic Life & AD&D insurance and option for Supplemental life plans, EAP, Mental Health Support, Medical Advice Line, Flexible Spending Accounts, Adoption and Surrogacy Reimbursement coverage)
  • 401(k) matching
  • paid time off
  • parental leave
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