Job Information
GE Vernova FP&A cash analyst in Noida, India
Job Description Summary
The Cash FP&A Analyst is responsible for driving cash forecast accuracy, Free Cash Flow (FCF) tracking, and working capital visibility across the organization. This role ensures timely and reliable cash reporting through close monitoring of forecasts and actuals during the financial closing cycle, identification of gaps, and coordination with business partners to resolve issues.
By delivering clear KPI reporting, variance analysis, and quarterly estimates and budgets, the Cash FP&A Analyst supports strong cash discipline and informed decision-making, directly contributing to overall Free Cash Flow performance.
This role combines analytical rigor with cross-functional collaboration, supporting both operational execution and strategic cash management.
Job Description
Key Responsibilities
Review, challenge, and consolidate regional and global cash forecasts to ensure accuracy, consistency, and completeness
Update actual cash figures throughout the closing cycle to provide real-time visibility into closing performance
Develop, maintain, and enhance Free Cash Flow and cash KPI reporting
Prepare and submit quarterly cash estimates through the VPlan tool
Perform variance analysis against plan, prior forecast, and actuals, providing clear explanations of key drivers
Execute SmartView extractions from FCC and related finance systems
Extract, validate, and reconcile financial data from SAP
Prepare and maintain standard cash forecasting and reporting files
Deliver ad hoc cash and financial reporting to support management requests and business needs
Support cash operating rhythm, reviews, and analytical processes
Ensure the accuracy, consistency, and timeliness of all cash-related deliverables
Identify data gaps, reporting inconsistencies, and process improvement opportunities across systems and reports
Partner closely with FP&A and Business Finance teams across regions to improve cash visibility and forecasting quality
Required Qualifications
Bachelor’s degree in Finance, Accounting, Economics, or related field
Strong proficiency in Excel, including advanced formulas and structured financial models
Working knowledge of FCC (Financial Consolidation and Close/Controls, depending on internal terminology)
Experience using SmartView for data extraction and reporting
Solid understanding of cash flow mechanics, forecasting, and KPI reporting
SAP knowledge, including the ability to extract, analyze, and reconcile finance data
Fluent in English, both written and verbal
Desired Skills and Experience
Understanding of end-to-end cash flow mechanics
Ability to manage operating rhythms and recurring reporting cycles
Strong attention to detail, data integrity, and accuracy
Ability to identify data gaps and inconsistencies across systems
Strong collaboration skills with FP&A and Business Finance partners
Ability to work effectively across different geographical areas and regional teams
Ability to work under pressure and manage deadlines in a fast-paced environment
Additional Information
Relocation Assistance Provided: No
GE Vernova is an Equal Opportunity Employer. Employment decisions are made without regard to race, color, religion, national or ethnic origin, sex, sexual orientation, gender identity or expression, age, disability, protected veteran status or other characteristics protected by law.