Senior Director, Revenue Cycle Finance
Listed on 2026-10-10
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Management
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Accounting
McKesson is an impact-driven, Fortune 10 company that touches virtually every aspect of healthcare. We are known for delivering insights, products, and services that make quality care more accessible and affordable. Here, we focus on the health, happiness, and well-being of you and those we serve – we care. What you do at McKesson matters. We foster a culture where you can grow, make an impact, and are empowered to bring new ideas.
Together, we thrive as we shape the future of health for patients, our communities, and our people.
The US Oncology Network is a leader in community-based oncology care, bringing together independent oncology providers to deliver connected care in local communities. The Network manages practice business operations, including billing, non-medical personnel, facilities management, technology, and payer contracting, enabling practices to remain independent while benefiting from shared expertise, coordinated resources, and the support of McKesson. By enhancing operational efficiency and providing tools that support practice growth and innovation, The Network enables providers to focus on what matters most: their patients.
Role OverviewThe Senior Director, Revenue Cycle Management Finance is the senior finance leader for The US Oncology Network’s Revenue Cycle Management organization and a member of the US Oncology Network FP&A leadership team. The role leads Revenue Cycle Management FP&A, Revenue Accounting, and a newly established Balance Sheet Reconciliations function through three Director-level leaders. This leader integrates planning, revenue accounting, controllership, working capital, transformation finance, analytics, and practice support to improve financial outcomes and confidence in reported results.
Key Responsibilities Revenue Cycle Financial Strategy, Performance & Executive PartnershipLead planning, forecasting, long-range outlooks, performance reporting, and executive decision support for Revenue Cycle Management. Connect operational drivers to cash, expense, bad debt, and Adjusted Operating Profit outcomes and recommend actions to senior leaders. Build a standing, network-wide partnership model across Operations, practices, Finance, Accounting, and Controllership.
Working Capital, Cash Flow & Accounts Receivable StewardshipLead analysis of cash collections, accounts receivable aging, collectability, denials, bad debt, reserve exposure, and recovery performance. Guide cash forecasting and scenario modeling, including aging transitions, practice impacts, and recovery plans following disruption. Establish performance measures and escalation routines for working capital and revenue-cycle outcomes.
Revenue Accounting, iReserve & Reporting GovernanceProvide strategic oversight of Revenue Accounting, including iReserve, contractual discount methodologies, reserve analytics, revenue recognition support, monthly close, and reporting. Resolve complex revenue and reserve matters with Accounting and Controllership and strengthen assumption governance and transparency. Oversee Revenue Cycle SOX controls, documentation, remediation, and audit readiness.
Balance Sheet Reconciliations FunctionBuild & Management Stand up and manage a new Director-led Balance Sheet Reconciliations function to centralize and strengthen accounts receivable and cash-clearing reconciliations. Define service scope, staffing, standard work, documentation, quality criteria, governance, escalation protocols, and performance metrics. Drive resolution of reconciling items, aged balances, ownership gaps, and control deficiencies while expanding Controller support.
Transformation, Technology & Value RealizationLead finance support for operating-model redesign,…
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