Vice President, Financial Planning & Analysis, Treasury & Tax
Job in
Hempstead, Nassau County, New York, 11549, USA
Listed on 2026-09-30
Listing for:
CONMED Corporation
Full Time
position Listed on 2026-09-30
Job specializations:
-
Finance & Banking
Corporate Finance, Chief Financial Officer (CFO), Financial Manager, VP/Director of Finance -
Management
Chief Financial Officer (CFO), Financial Manager
Job Description & How to Apply Below
The Vice President, Financial Planning & Analysis, Treasury & Tax leads CONMED's enterprise financial planning, treasury strategy, and global tax activities. This role provides strategic financial leadership across planning, forecasting, liquidity, capital structure, capital allocation, financial risk management, tax strategy, compliance, reporting, and enterprise performance reporting. Serving as a key advisor to the CFO, Executive Leadership Team, and Board of Directors, the role partners with business leaders, external financial institutions, tax authorities, advisors, and cross-functional teams to align financial strategy, tax governance, and capital priorities with CONMED's enterprise objectives and long-term value creation.
KeyDuties and Responsibilities Enterprise Financial Strategy, Planning & Capital Allocation
- Lead CONMED's annual operating plan, strategic plan, long-range financial outlook, and enterprise capital allocation framework.
- Provide financial leadership to support growth initiatives, investments, acquisitions, capital deployment, and organizational transformation efforts.
- Partner with executive leadership to evaluate strategic opportunities, assess financial implications, and align resources to the Company's highest-value priorities.
- Lead global forecasting processes and deliver accurate, actionable financial projections.
- Establish enterprise performance metrics, financial targets, and reporting disciplines that support business objectives.
- Monitor performance against plans and forecasts, identifying risks, opportunities, and corrective actions.
- Deliver insights that improve operational performance, profitability, cash flow, and shareholder value.
- Develop and execute CONMED's global treasury strategy in alignment with enterprise objectives.
- Oversee global cash positioning, liquidity planning, debt facilities, credit agreements, covenant compliance, and intercompany capital planning.
- Lead banking relationships, including partner management, fee and service negotiations, credit terms, and treasury technology providers.
- Support capital markets activity, refinancing, financing structures, share repurchase activity, and other capital allocation initiatives.
- Manage financial risks, including interest rate, foreign exchange, counter party, insurance, and treasury-related SOX compliance matters.
- Provide executive leadership for global tax activities, including income tax, transfer pricing, indirect tax, tax planning, and tax governance.
- Oversee tax compliance, tax accounting, financial reporting, and regulatory disclosures in alignment with applicable laws and accounting standards.
- Advise leadership on tax implications of acquisitions, divestitures, restructurings, international expansion, and other strategic business activities.
- Manage tax audits, examinations, and relationships with tax authorities and external advisors.
- Serve as a trusted advisor to the CFO, Executive Leadership Team, and Board of Directors on financial performance, strategic investments, capital deployment, liquidity, enterprise risks, treasury matters, and tax strategy.
- Develop executive-level reporting, financial analyses, treasury updates, business reviews, tax updates, and Board materials.
- Translate complex financial, treasury, tax, and market information into clear insights and actionable recommendations.
- Lead financial analysis related to revenue growth, margin expansion, operating efficiency, cash flow, capital investments, and strategic initiatives.
- Partner with business leaders to evaluate business cases, acquisitions, operational improvement opportunities, and tax or treasury implications.
- Promote data-driven decision-making through financial modeling, scenario analysis, market intelligence, and performance analytics.
- Establish and maintain planning processes, financial controls, forecasting disciplines, treasury policies, tax governance, and cash movement controls.
- Ensure alignment among FP&A, Accounting, Treasury, Tax, Legal, external auditors, advisors, and business finance teams.
- Partner with Legal and Finance teams to support disclosure controls, tax and treasury compliance obligations, and related governance requirements.
- Drive continuous improvement in financial planning…
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