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Treasury Manager, Cash & Liquidity

Job in Deerfield, Lake County, Illinois, 60063, USA
Listing for: Baxter Healthcare
Full Time position
Listed on 2026-09-03
Job specializations:
  • Finance & Banking
    Financial Analyst, Financial Manager, Corporate Finance, Financial Reporting
Salary/Wage Range or Industry Benchmark: 112000 - 154000 USD Yearly USD 112000.00 154000.00 YEAR
Job Description & How to Apply Below
Position: Treasury Manager, Cash Performance & Liquidity

This is where
your work makes a difference.

At Baxter, we believe every person
-regardless of who they are or where they are from- deserves a chance to live a healthy life. It was our founding belief in 1931 and continues to be our guiding principle. We are redefining healthcare delivery to make a greater impact today, tomorrow, and beyond.

Our Baxter colleagues are united by our Mission to Save and Sustain Lives. Together, our community is driven by a culture of courage, trust, and collaboration. Every individual is empowered to take ownership and make a meaningful impact. We strive for efficient and effective operations, and we hold each other accountable for delivering exceptional results.

Here, you will find more than just a job—you will find purpose and pride.

Your role at Baxter

As the Treasury Manager, Cash Performance & Liquidity, you will play a central role in helping Baxter improve free cash flow generation, working capital performance, liquidity management, cash forecasting, and banking effectiveness across a global organization. Supporting Treasury leadership, you will partner closely with Finance, Tax, FP&A, Procurement, Operations, Global Business Services, and business leaders to identify opportunities that strengthen Baxter's financial flexibility and cash performance.

This role sits at the intersection of strategy, analytics, and execution. You will help drive initiatives related to liquidity optimization, cash forecasting, banking modernization, treasury technology, and enterprise cash performance. The position offers broad exposure to senior leadership and enterprise-wide decision making while serving as a key resource supporting Treasury's most critical priorities.

For someone who enjoys solving complex financial challenges, building analytical capabilities, influencing cross-functional stakeholders, and driving measurable business impact, this role provides a strong platform for growth and future leadership opportunities within Treasury and Finance.

This is a hybrid role based in Deerfield, IL.

What you'll be doing
  • Support Treasury's liquidity management strategy through cash concentration, funding structure, notional pooling, and cash mobilization initiatives.
  • Develop and enhance cash forecasting capabilities, including 13-week cash forecasts, long-range liquidity planning, forecast variance analysis, and scenario modeling.
  • Create free cash flow, working capital, and liquidity analytics that improve visibility into enterprise cash drivers and performance.
  • Partner with Treasury, FP&A, Operations, Procurement, and business finance teams to identify and execute opportunities that improve cash generation and working capital performance.
  • Develop executive dashboards, management reporting, KPIs, and analytical tools that support Treasury leadership decision making.
  • Support global banking initiatives, including account rationalization, relationship management, banking structure optimization, fee analysis, and RFP activities.
  • Drive process improvement and standardization efforts across Treasury operations, banking activities, forecasting processes, and cash management practices.
  • Support Treasury technology initiatives, including Kyriba optimization, system integrations, automation opportunities, and reporting enhancements.
What you'll bring
  • Bachelor's degree in Finance, Accounting, Economics, Business, or a related field; MBA, CFA, CTP, CPA, or similar professional credential preferred.
  • 5+ years of experience in Treasury, Corporate Finance, FP&A, Banking, Consulting, or a related finance function.
  • Experience supporting cash forecasting, liquidity management, working capital improvement, banking strategy, or Treasury analytics initiatives.
  • Strong financial modeling, analytical, and problem-solving skills with the ability to translate complex data into actionable recommendations.
  • Excellent communication and presentation skills with the ability to influence stakeholders across functions and levels of the organization.
  • Experience working with Treasury Management Systems, ERP platforms, business intelligence tools, or data analytics solutions;
    Kyriba experience preferred.
  • Strong project management and…
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