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Hybrid FP&A Manager — Cash Flow & SG&A Strategy

Tropicana Brands Group

Tropicana Brands Group, a $3B beverage company, seeks a Finance Manager to lead HQ cost and cash planning. You’ll partner with senior finance and functional leaders to drive disciplined budgeting and forecasting. Responsibilities include SG&A and one-time cost planning, cash forecasting, workforce budgeting, monthly variance analysis, and creating executive dashboards for the CFO and Board. Hybrid role in the Chicago area. #J-18808-Ljbffr Tropicana Brands Group

Vacancy posted 1 day ago
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