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Finance Specialist – FP&A Operations
GE Vernova. Manage operational cash flow, billings, collections, past-due tracking, and bank reconciliations .
Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates expertise in financial planning and analysis (FP&A), including cash flow management, budgeting, and profitability analysis. Proficient in advanced Excel, reporting, and communication in both Arabic and English, with strong project management and leadership capabilities.
Highest-signal resume keywords
Financial Planning And Analysis (FP&A)Advanced Excel SkillsCash Flow ManagementProject ManagementBilingual Communication (Arabic & English)
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills
Cash Flow ManagementBudgetingProfitability AnalysisP&L ReportingBalance-Sheet ReconciliationData AnalysisForecastingCost-Out InitiativesVariance MonitoringStatutory Filings
Soft Skills
Strong CommunicationProblem-SolvingStrategic ThinkingLeadershipInterpersonal Skills
Tools & Technologies
ExcelWordPowerPointUnify
Industry Keywords
FinanceEnergy IndustryGovernance StandardsCross-Functional CollaborationMatrix Environment
About the role
Key responsibilities & impact- Manage operational cash flow, billings, collections, past-due tracking, and bank reconciliations
- Prepare 3-year business plans, budgets, and forecasts with business leaders
- Conduct pacing and early-read analysis
- Analyze profitability and cash-generation performance
- Propose corrective action plans and support cost-out/productivity initiatives
- Provide P&L and corporate reporting, monitor variances, and report discrepancies to CPM and PFM teams
- Monitor PMX projects and review/approve EV project markups
- Track unbilled projects (WIP/ECA)
- Coordinate PMX upside allocation via Unify
- Perform balance-sheet reconciliations across three countries according to GE and Kuwaiti governance standards
- Manage month-end and quarter-end close activities
- Support statutory filings for GEGS and GEII
- Participate in weekly SOF management calls
- Liaise with GE Treasury and Gas Power FP&A teams
- Coordinate with CPM, PFM, Alpha, Statutory, Gas Power FP&A, and GE Treasury teams
Requirements
What you’ll need- Bachelor's degree in finance, accounting, or related field from an accredited college or university or equivalent experience
- Minimum 3 years of experience in FP&A or a similar role
- Advanced technical skills in Excel, Word and PowerPoint to analyze information to build reports and presentation
- Strong communication skills in Arabic & English, both verbal and written
- Strong communication, problem-solving, strategic thinking, influencing, leadership, technical, change agent, facilitation, interpersonal, supportive, and responsive skills
- Ability to partner in cross-functional projects/process improvement within operations/finance function
- Ability to grasp new ideas quickly and retrieve insights from a great amount of data
- Ability to anticipate, identify, propose, and resolve complex financial issues
- Demonstrated business acumen and project management skills
- Strong prior experience in commercial Finance and/or in the energy industry
- Demonstrated team management ability in a matrix environment
Benefits
Comp & perks- Remote position
- No relocation assistance provided