Treasury Manager
Headfarmer
Job Description
Headfarmer is partnering with a rapidly growing, private equity-backed healthcare organization seeking a Treasury Manager to build and optimize treasury operations in a high-growth, fast-paced environment. This is a newly created role with high visibility, strong autonomy, and the opportunity to make an immediate impact. About the Opportunity This organization has scaled quickly and is continuing aggressive expansion—adding dozens of new locations annually.
While the company has an established foundation, it still operates with a startup-like energy, offering the chance to build structure, improve processes, and drive meaningful change. What You’ll Do Manage and optimize a complex treasury environment with 150+ bank accounts Drive automation initiatives across treasury and bank reconciliations Partner with banking institutions to improve systems and efficiencies Oversee cash management, liquidity planning, and account structures Support debt compliance, reporting, and portfolio management Evaluate and implement cash sweep strategies Identify and implement process improvements across treasury operations What We’re Looking For Strong treasury experience with a focus on process improvement and automation Experience with debt compliance and reporting Ability to step in, assess, and define “what good looks like” Hands‑on, resourceful, and comfortable in a build‑and‑improve environment Curious, driven, and eager to learn Team‑oriented mindset (this is not a “clock‑in, clock‑out” role) Why This Role? High‑impact position with autonomy and visibility Opportunity to build and shape treasury operations Fast‑paced environment where you won’t get bored Clear path for growth from individual contributor to leadership Culture People‑first mindset: team care, patient care, and business care Collaborative and supportive leadership Growth‑oriented and evolving organization #J-18808-Ljbffr