Sign up to access all features of our service.
  • Job search
  • Favorites
  • Create a CV
    New
  • Salaries
  • Subscriptions

Financial Planning Manager - Cash Flow

$107.5k - $188.4k

Wolters Kluwer N.V.

NOTE: This is an individual contributor position.

About the Role

The Financial Planning Manager is responsible for developing, maintaining, and improving the cash flow forecasting processes for the Financial & Corporate Compliance (FCC) Division. This role provides actionable insights into future liquidity, operational funding needs, working capital trends, and cash optimization opportunities. The Manager will partner closely with Business Unit Finance, Treasury, Operations, and Accounting teams to ensure timely reporting and accurate projections.

Key Responsibilities

Cash Flow Forecasting & Modeling
  • Develop and maintain short-term (quarterly) and long-term (annual) FCC cash flow models, incorporating revenue, expenses, capital expenditures, working capital, and other operational drivers.
  • Track forecast accuracy and continuously refine forecasting methodologies.
  • Leverage internal AI tools to enhance cash flow forecasting accuracy, detect patterns, and automate trend identification.
  • Build scenario analyses and sensitivities to evaluate impacts of changes in business performance, market conditions, or operational decisions.
  • Monitor cash inflows and outflows to identify variances, risks, and opportunities.
Reporting & Analysis
  • Prepare and deliver cash flow reporting packages for FP&A leadership monthly and quarterly.
  • Analyze historical performance trends and convert them into actionable insights.
  • Provide variance analysis against budget, forecast, and prior periods, with clear storytelling and actionable recommendations.
Cross-Functional Collaboration
  • Partner with Finance, Treasury, Accounting, Billing, and Operations teams to gather input, validate assumptions, and ensure forecast accuracy.
  • Work with accounting to understand timing impacts related to accruals, revenue recognition, and working capital movements.
  • Identify and implement improvements to forecasting processes, data flows, and related documentation.
  • Contribute to continuous process improvement initiatives within FP&A, Operations, and Fulfillment teams.
Qualifications

Required
  • Bachelor's degree in Finance, Accounting, Economics, or a related field.
  • 4+ years of experience in FP&A, Treasury, corporate finance, or financial modeling.
  • Hands-on cash flow forecasting experience and strong understanding of cash flow concepts - operating vs. free cash flow, working capital, timing impacts, etc.
  • Technical accounting background, a strong plus
  • Financial modeling and advanced Excel skills.
  • Ability to analyze complex datasets and translate findings into clear insights.
  • Strong communication skills with the ability to partner across functions.

Preferred
  • Experience in SaaS, professional services, or subscription-based financial models.
  • Familiarity with ERP and forecasting tools.
  • Hands on experience with Wolters Kluwer financial systems (Tagetik, a plus)
Key Competencies
  • Ownership mentality and proactive mindset
  • Analytical thinking and problem-solving
  • Financial acumen and attention to detail
  • Clear communication and stakeholder alignment
Success Indicators
  • High accuracy and consistency of cash flow forecasts
  • Clear, decision-ready reporting
  • Strong cross-functional relationships
  • Improvements to process efficiency and forecast cycle time

The above statements are intended to describe the general nature and level of work being performed by most people assigned to this job. They are not intended to be an exhaustive list of all duties and responsibilities and requirements.

Our Interview Practices

To maintain a fair and genuine hiring process, we kindly ask that all candidates participate in interviews without the assistance of AI tools or external prompts. Our interview process is designed to assess your individual skills, experiences, and communication style. We value authenticity and want to ensure we're getting to know you-not a digital assistant. To help maintain this integrity, we ask to remove virtual backgrounds and include in-person interviews in our hiring process. Please note that use of AI-generated responses or third-party support during interviews will be grounds for disqualification from the recruitment process.

Applicants may be required to appear onsite at a Wolters Kluwer office as part of the recruitment process.

Compensation:
$107,500.00 - $188,400.00 USD


This role is eligible for Bonus.

Compensation range listed is based on primary location of the position. Actual base salary offer is influenced by a wide array of factors including but not limited to skills, experience and actual hiring location. Your recruiter can share more information about the specific offer for the job location during the hiring process.


Additional Information :

Wolters Kluwer offers a wide variety of competitive benefits and programs to help meet your needs and balance your work and personal life, including but not limited to: Medical, Dental, & Vision Plans, 401(k), FSA/HSA, Commuter Benefits, Tuition Assistance Plan, Vacation and Sick Time, and Paid Parental Leave. Full details of our benefits are available upon request.
Vacancy posted 4 days ago
Similar jobs that could be interesting for youBased on the Financial Planning Manager - Cash Flow in New York, NY vacancy
  • $125k - $150k

     ...for an execution-oriented FP&A Manager to join our Finance team at a...  ..., you will own consolidated financial modeling, SaaS metrics...  ...central role in how the company plans, measures, and communicates performance...  ..., Collections, and Free Cash Flow. Produce monthly and... 
    Cash
    Work at office
    Flexible hours

    rePurpose Global

    New York, NY
    4 days ago
  •  ...detail-oriented Finance Executive in the United States to manage daily finance activities, cash flow, reporting, and bookkeeping. The ideal candidate will...  ...software. Responsibilities include maintaining financial records, managing accounts payable/receivable, and preparing... 
    Cash

    Avenue Construction, LLC

    New York, NY
    3 days ago
  •  ...Pavago is hiring an Accountant to support financial operations in the United States. This remote full-time position...  ...and payment tracking. The successful candidate will manage accounts receivable, monitor cash flow, and contribute to modernizing accounting systems with... 
    Cash
    Full time
    Remote work

    Pavago

    New York, NY
    3 days ago
  •  ...law firm is seeking a Treasury Analyst to support its Treasury operations in New York City. This role involves daily cash management, maintaining cash flow forecasts, and ensuring compliance with internal controls. The ideal candidate should hold a Bachelor's degree in... 
    Cash
    Work at office

    ADERANT EXPERT USERS COMMUNITY INC

    New York, NY
    1 day ago
  • Independence Pet Group is hiring a Corporate Treasury Analyst to manage cash liquidity and support treasury operations in New York, NY. The...  ...include monitoring cash positions, preparing cash flow forecasts, and managing banking relationships. Preferred experience... 
    Cash

    Independence Pet Group

    New York, NY
    1 day ago
  • £55k per year

    Financial Planning & Analysis Manager Location: Lincoln Salary: up to £55,000 per annum Vacancy Type: Permanent Benjamin Edwardsis recruiting for a strategic...  ...the business, working closely with the business to keep cash forecasts up to date and accurate. Improve current... 
    Cash
    Permanent employment

    A-

    Brooklyn, NY
    5 days ago
  • $85k - $90k

    A community service organization based in New York is hiring an Accounting/Treasury Manager to manage cash flow planning, analysis, and bank relations. The role requires overseeing daily cash operations and ensuring liquidity while optimizing interest income. Ideal candidates... 
    Cash

    ADAPT Community Network

    New York, NY
    5 days ago
  • Legora in New York is seeking an experienced treasury professional to manage day-to-day treasury operations, including cash positioning and liquidity management. You will be responsible for building cash flow forecasts, optimizing bank relationships, and executing FX risk... 
    Cash

    Legora

    New York, NY
    3 days ago
  • Wyndham Hotels and Resorts, Inc. is looking for a Manager of FP&A - Cash Flow to join our Parsippany, NJ team. This role is crucial for strategic planning, budgeting, and financial reporting, requiring 3-5 years of financial analysis experience, preferably in hospitality... 
    Cash

    Wyndham Hotels and Resorts, Inc.

    New York, NY
    1 day ago
  • $500 per month

     ...subsidiaries, Alpaca is a licensed financial services company, serving...  ...investment advisors, wealth managers, hedge funds, and crypto...  ...&A Manager to lead financial planning, analysis, and reporting for...  ...planning, initiative assessments, cash flow forecasting, and investment evaluations... 
    Cash
    Home office

    Alpaca

    New York, NY
    11 days ago
  •  ...Services is looking for a Controller to manage financial operations at our Binghamton, NY location...  ...Key responsibilities include overseeing cash handling, preparing financial reports,...  ...including medical, dental, and retirement plans. #J-18808-Ljbffr Chartwells Higher... 
    Cash

    Chartwells Higher Education Dining Services

    New York, NY
    5 days ago
  • Vaco Recruiter Services in Hoboken, NJ is seeking a Senior Accounting Manager to lead the finance department. This role involves overseeing A/P and A/R operations, optimizing cash flow, and ensuring compliance with accounting standards. The ideal candidate has a Bachelor... 
    Cash

    Vaco Recruiter Services

    Hoboken, NJ
    3 days ago
  • $110k - $185k

     ...Financial Planning Director Morgan Stanley Wealth Management provides holistic financial solutions to individuals, families and institutions. With a legacy of...  ...to create personalized financial plans using both cash-flow and goals-based planning tools offered by third-party... 
    Cash
    Temporary work

    Morgan Stanley

    New York, NY
    4 days ago
  • $115k - $130k

     ...Wyndham Hotels & Resorts is now seeking a Manager FP&A - Cash Flow to join our team at the Parsippany -...  ...is an integral role in the Strategic Planning, Budgeting and Forecasting process...  ...will involve preparing necessary financial reporting on a weekly/monthly/quarterly... 
    Cash
    Full time
    Temporary work
    Local area
    Worldwide

    Wyndham Hotels and Resorts, Inc.

    New York, NY
    1 day ago
  •  ...will be responsible for overseeing the organization's financial strategy, planning, and operational finance functions to support sustainable...  .... The role will lead budgeting, forecasting, cash flow management, financial reporting, and compliance activities, while... 
    Cash
    Local area

    Confidential

    Brooklyn, NY
    4 days ago
  •  ...Chief Executive Officer/Chief Financial Officer Company:...  ...performance, capital strategy, risk management, and operational finance...  ...financial strategy, capital planning, and long-term growth initiatives...  ..., inventory management, and cash flow Manage a large credit... 
    Cash
    Seasonal work
    Work at office
    Shift work

    Starts Align LLC

    Brooklyn, NY
    1 day ago
  • $98.85k - $158.3k

     ...International Executive Service Corps is looking for a Sr. Manager Billing and Cash Management to lead the billing processes and cash flow activities. This role involves ensuring compliance and optimizing liquidity while managing a dedicated team and implementing process... 
    Cash

    International Executive Service Corps

    New York, NY
    1 day ago
  • $260k - $290k

     ...confusing changes to their Medicare plans that impact their...  ...leave seniors medically and financially vulnerable. Independent Medicare...  ...corporate financial model, build and manage a finance team, and serve as...  ...P&L, revenue drivers, and cash flow Lead monthly finance... 
    Cash
    Local area
    Remote work
    Home office
    Flexible hours

    Spark Advisors

    New York, NY
    1 day ago
  • $200k - $300k

     ...analytical partner. You will own Crux’s financial planning and analysis engine - building...  ...corporate treasury operations, including cash management, liquidity planning, and banking relationships...  ...billions of dollars of capital flowing into renewables projects Culture &... 
    Cash
    Remote work

    Crux

    New York, NY
    3 days ago
  • $80k - $90k

     ...Framework Ventures in the United States is seeking a Billing and Collections Specialist to manage cash flow while maintaining positive customer relationships. This role involves leading collections activities, responding to billing inquiries, and preparing AR reports.... 
    Cash

    Framework Ventures

    New York, NY
    3 days ago
  • $120k

     ...consumer goods wholesale company near Hazlet, NJ is seeking a Cash/Financial Manager to oversee cash management processes, supporting the finance...  ...a salary of up to $120,000 and benefits including medical coverage and a 401(k) plan. #J-18808-Ljbffr Vaco Recruiter Services
    Cash

    Vaco Recruiter Services

    New York, NY
    1 day ago
  • $50.5 - $73.6 per hour

     ...Figma is seeking a Senior Credit & Collections Analyst to manage collections operations, driving cash flow outcomes and supporting monthly closes. The role offers the chance to implement improvements through AI and automation. Located in the US or remotely, the ideal... 
    Cash
    Hourly pay
    Remote work

    Figma

    New York, NY
    1 day ago
  • TEEMA Solutions Group in New York is seeking an Acquisition Entrepreneur to identify and close on cash-flowing businesses. This role emphasizes ownership, not employment, offering substantial equity opportunities. Candidates should be highly driven and comfortable in fast... 
    Cash

    TEEMA Solutions Group

    New York, NY
    4 days ago
  •  ...leading professional services firm is seeking a Vice President of Finance to oversee financial operations in New York. This pivotal role involves managing financial reporting, cash flow projections, and strategic financial decisions while leading a dedicated team. Ideal... 
    Cash

    EisnerAmper LLP

    New York, NY
    2 days ago
  •  ...President, Asset-Backed Finance (ABF) Modeler to join its structured products team in New York. This role involves developing complex cash flow models crucial to pricing and evaluations in securitization transactions. The ideal candidate has 7-12 years of structured finance... 
    Cash

    The Emerald Recruiting Group

    New York, NY
    1 day ago
  • Vaco Recruiter Services is looking for a Director, Order-to-Cash to establish a centralized billing-to-cash shared services model. This...  ...proven track record in enhancing invoice accuracy and overall cash flow. This role is located in Tampa, FL, and is a full-time, direct-... 
    Cash
    Full time

    Vaco Recruiter Services

    New York, NY
    4 days ago
  •  ...An innovative dental technology firm is looking for a Senior Manager - Treasury to oversee cash management, liquidity planning, and financial risk. The candidate should have over 8 years of experience in corporate finance or banking, demonstrating exceptional analytical... 
    Cash

    Dandy LLC

    New York, NY
    3 days ago
  •  ...Resources . You will serve as the financial architect of the business—...  ..., margin strategy, cash management, and the financial systems that...  ...Own company-wide financial planning, budgeting, and forecasting....  ...Manage capital allocation, cash flow forecasting, and working... 
    Cash
    Remote work
    Flexible hours

    Itlearn360

    New York, NY
    3 days ago
  • $225k

     ...McKissack has been a leader in planning, design, and construction of...  ...for processing the financial activities of the organization...  ...leadership on project reporting, cash flow and budget projections. This...  ...Responsible for the direct management of all key accounting and reporting... 
    Cash

    EisnerAmper LLP

    New York, NY
    2 days ago
  • $135k - $185k

     ...and 8+ years of experience, focusing on pricing and developing ILS and reinsurance products. Key responsibilities include updating cash flow models and collaborating with stakeholders to create system specifications. Compensation for this position ranges from $135,000 to... 
    Cash

    DW Simpson Global Actuarial & Analytics Recruitment

    New York, NY
    4 days ago

Do you want to receive more vacancies?

Subscribe and receive similar vacancies to Financial Planning Manager - Cash Flow. Be the first to apply!