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Director, Finance and Treasury

Job in Bridgewater, Plymouth County, Massachusetts, 02324, USA
Listing for: Cosette Pharmaceuticals Inc.
Full Time position
Listed on 2026-04-23
Job specializations:
  • Finance & Banking
    Financial Manager, Corporate Finance, CFO, VP/Director of Finance
Salary/Wage Range or Industry Benchmark: 150000 - 200000 USD Yearly USD 150000.00 200000.00 YEAR
Job Description & How to Apply Below

Cosette Pharmaceuticals, Inc. is a US-based, fully integrated pharmaceutical company with capabilities in product development, manufacturing, and commercial operations. Cosette has a fast-growing portfolio of branded pharmaceuticals consisting of products in the cardiology, women's health, and migraine markets. Cosette has a long history in quality manufacturing of complex dosage forms including topical creams, ointments, oral liquids/solutions and suppositories, which has led to consistent supply to customers and commercialization success.

Cosette has corporate and manufacturing facilities in New Jersey and North Carolina and is supported by more than 300 dedicated employees across all functional areas.

Innovating every day.

Position Summary

The Director of Finance and Treasury is responsible for enterprise-wide cash management, debt compliance, performance reporting, financial planning and value creation for Cosette Pharmaceuticals. This role is a key strategic partner to the CFO, Executive Leadership Team (ELT), Board of Directors (BOD), and external financing partners, providing rigorous financial leadership, forward‑looking insights, and operational decision support. The Director oversees the company’s cash flow management, lender reporting, capital planning, and working capital performance—while ensuring strong financial governance and operational alignment across the organization.

Essential Duties and Responsibilities Enterprise Financial Leadership & Performance Management
  • Lead quarterly compliance reporting and annual budget submissions debt compliance.
  • Serve as primary liaison with financial stakeholders regarding company performance, financial results, and interest‑rate updates.
  • Collaborate with external partners on all reporting requirements for lenders and financial sponsors.
  • Prepare and review quarterly BOD cash forecasts and provide supporting commentary.
Treasury, Cash Management & Working Capital
  • Oversee daily cash balance reconciliation; identify and resolve cash‑related exceptions.
  • Lead weekly 13‑week cash forecasting, including:
    • Analysis of prior‑week cash inflows and outflows.
    • Review of ABC, Cardinal, and McKesson transactions to generate near‑term receipt forecasts.
    • Identification and follow‑up of significant variances or timing shifts.
  • Partner with the Finance team regarding GTN‑related cash forecasting.
  • Develop quarterly balance sheet and cash flow forecasts.
  • Prepare and review the monthly S&OP Cash Conversion Cycle report.
  • Drive working capital performance by partnering with Supply Chain, AP, AR, and Finance leadership to ensure timely collections, controlled disbursements, resolution of overdue items and optimization of inventory levels.
  • Oversee bi‑monthly disbursement cycles and prepare CFO review package summarizing key payments and variances versus the 13‑week forecast.
Capital Expenditures
  • Review and approve capital expenditure requests, ensuring alignment with financial, operational, and return‑on‑investment expectations.
Annual Budgeting & Strategic Planning
  • Lead development of annual balance sheet for cash, AR, debt, interest and cash flow budgets.
  • Ensure that budget submissions satisfy all lender covenant requirements.
  • Develop quarterly balance sheet and cash flow forecasts.
  • Build long‑range balance sheet and cash flow projections supporting the company’s strategic plan.
Qualifications and Education Requirements
  • Bachelor’s degree in Finance, Accounting, Business, or related field required; MBA or CPA strongly preferred.
  • 12+ years of progressive finance and or treasury experience, including FP&A, forecasting, and financial leadership.
  • Demonstrated ability to manage cash forecasting, working capital performance, and lender reporting.
  • Experience in private equity–backed or leveraged environments a significant plus.
  • Strong technical expertise in financial modeling, scenario analysis, ROI calculations, and balance sheet/cash flow forecasting.
  • Proven ability to influence senior leaders and external financial partners through clear, concise communication.
  • Advanced Excel and PowerPoint capabilities required.
  • Experience with ERP systems (Oracle, SAP, etc.) and financial planning tools.
  • Strong…
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