Senior Treasury Manager: Cash Flow & Debt Strategy
Listed on 2026-10-07
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Finance & Banking
Financial Manager, Corporate Finance, Risk Manager/Analyst
One GI is seeking a Treasurer/Senior Treasury Manager to lead treasury and liquidity functions across a multi-state healthcare platform. You will oversee daily cash management, liquidity planning, debt administration, banking relationships, and weekly cash flow forecasting.
The ideal candidate has 5+ years in treasury or cash management, with advanced Excel and financial modeling skills, and the ability to communicate with executives and lenders in a fast-paced, PE-backed environment.
The Senior Treasury Manager:
Cash Flow & Debt Strategy position in the Finance field is open for applications.
We have an opening for a Senior Treasury Manager:
Cash Flow & Debt Strategy in Brentwood, TN, United States within Finance.
This role, Senior Treasury Manager:
Cash Flow & Debt Strategy at One GI®, could be your next move.
Are you ready to take on the Senior Treasury Manager:
Cash Flow & Debt Strategy role at One GI®?
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