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Amazon·E-commerce·17 hours ago

Finance Manager, WW Operations Working Capital & Free Cash Flow

Bellevue, United States of AmericaOn-siteFull-timeMid · 5+ yearsH1B likely

About this role

Amazon's WW Operations Finance FP&A team is seeking a Finance Manager to own the Working Capital and Free Cash Flow agenda for our Insights, Planning, Analytics and Technology team. This is a highly visible, senior individual contributor role supporting senior finance and operations leaders, with end-to-end ownership of the worldwide operations working capital and free cash flow position.

At Amazon, we are working to be the world's most customer-centric company, and our Operations network is renowned for being world-class, delivering packages to customers across the globe. Behind that network sits one of the largest working capital and cash flow positions at the company, and how we plan, forecast, and optimize it directly shapes the free cash flow Amazon reports to investors.

You will own the worldwide free cash flow and working capital planning and reporting cycle from start to finish, translate complex cash movements into narratives that senior leaders act on, and drive the mechanisms that make cash forecasting more accurate and more automated over time. You will not simply report the numbers. You will decide what they mean, hold the line in front of senior leadership, and influence how regional and central teams plan cash across organizations you do not directly control.

The successful candidate will have exceptional communication and analytical skills, the ability to dive deep and succinctly communicate findings to senior leaders, and comfort operating with a high degree of autonomy in a dynamic, fast-paced environment. You should hold a high bar on professional integrity, be energized by ambiguity, and be passionate about using data to solve big, complex cash flow problems.

Key job responsibilities
- Own end-to-end planning, forecasting, reporting, and controllership of worldwide operations working capital and free cash flow, holding accuracy and timeliness to a senior-leader-review standard.
- Author the free cash flow and working capital review documents presented to senior leadership, drive those reviews directly, and translate complex cash movements into clear narratives and recommendations.
- Own cash capital expenditure forecasting for worldwide operations, partnering with regional finance, supply chain, and treasury teams to phase spend accurately and close methodology gaps that affect the reported cash position.
- Drive automation and process improvement across the forecasting and reporting framework, including science-based forecasting approaches, and partner with shared services to scale mature workstreams.
- Identify incomplete or inaccurate data, determine root causes, implement escalation plans, and make sound judgment calls in ambiguous environments where data is difficult to procure.
- Influence senior leaders and cross-functional partners outside the direct reporting line, and mentor and develop analysts as the team scales.

A day in the life
You start the day reviewing worldwide cash flow and working capital performance, flagging where the forecast is moving and why. You spend part of the morning aligning a regional partner on an inventory or payables assumption, then translate it into a crisp recommendation for an upcoming senior leadership review. In the afternoon you pressure-test a cash capital expenditure phasing question with a regional team, work with a partner to harden a forecasting mechanism so the reporting cycle runs cleanly, and coach an analyst through a variance analysis. Throughout, you are deciding what matters, holding controllership, and shaping the cash narrative leaders rely on.

About the team
As part of the WW Operations FP&A team, you will join a collaborative and knowledgeable group that is passionate about numbers, data, and how to use them to generate insight and improve the business. We are the trusted business advisors who earn trust through accurate, reliable financial insight, and we work in a supportive environment where expertise is shared freely and Invent and Simplify is highly encouraged. The working capital and free cash flow workstream sits at the center of governance and executive cash narrative for worldwide operations, giving this role direct exposure to the most senior finance and operations leaders.

Learning Opportunities:
- Autonomy to innovate: deliver new approaches that improve the accuracy and efficiency of a major cash flow position
- Executive exposure: recurring engagement with senior leaders through cash flow reviews
- Diverse collaboration: partner with regional finance, supply chain, treasury, corporate finance, and investor relations
- Career development: build people leadership and center-of-excellence scope over time

Basic Qualifications

- Bachelor's degree in finance, accounting, business, economics, or a related analytical field (e.g., engineering, math, computer science)
- 5+ years of tax, finance or a related analytical field experience
- 5+ years of leading cross-functional initiatives that drive financial performance and strategy experience
- 5+ years of dissecting financial data and identifying patterns that support business strategy experience

Preferred Qualifications

- 6+ years of identifying incomplete or inaccurate data, identifying the root cause and creating/implementing an escalation plan experience
- 6+ years of solving complex business challenges by delivering accurate and timely financial models, analysis, and recommendations that have a proven impact on business (e.g., financial savings, operational improvements, or customer benefits) experience
- MBA, or CPA
- Experience working with large-scale data mining and reporting tools (examples: SQL, MS Access, Essbase, Cognos) and other financial systems (examples: Oracle, SAP, Lawson, JD Edwards)
- Experience delivering forecasting, budgeting, and variance analysis, and data interpretation of results
- Experience using complex financial models, KPIs, and data analysis to inform strategic business decisions and influence cross-functional stakeholders, with proven business impact (e.g., financial savings, operational improvements, or customer benefits)

Amazon is an equal opportunity employer and does not discriminate on the basis of protected veteran status, disability, or other legally protected status.

Our inclusive culture empowers Amazonians to deliver the best results for our customers. If you have a disability and need a workplace accommodation or adjustment during the application and hiring process, including support for the interview or onboarding process, please visit https://amazon.jobs/content/en/how-we-hire/accommodations for more information. If the country/region you’re applying in isn’t listed, please contact your Recruiting Partner.

The base salary range for this position is listed below. Your Amazon package will include sign-on payments and restricted stock units (RSUs). Final compensation will be determined based on factors including experience, qualifications, and location. Amazon also offers comprehensive benefits including 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, and parental leave. Learn more about our benefits at https://amazon.jobs/en/benefits.



USA, NY, New York - 104,900.00 - 179,500.00 USD annually
USA, WA, Bellevue - 95,400.00 - 163,200.00 USD annually