Treasury & Risk Manager - Omnicare
Core
Oversees treasury and risk management activities, setting strategic financial objectives and driving effective treasury operations for a long-term care pharmacy services provider.
Role type
Treasury and Risk Manager
Builds
Cash flow forecasts, debt financing strategies, risk mitigation programs, and banking relationships
Domain
Healthcare / Corporate Finance
Required skills
Corporate treasury management, cash flow forecasting, bank relationship management, debt financing operations, corporate insurance program management, financial risk assessment (interest rate, FX, credit), financial modeling, regulatory compliance
Preferred skills
None stated
Technologies
None stated
Responsibilities
Direct company cash flows and optimize cash positions; Develop accurate cash flow forecasts for financial planning; Coordinate bank relationships and manage banking services; Assess and mitigate financial risks; Direct debt financing operations and monitor loan covenants; Ensure compliance with treasury regulations and implement internal controls
Seniority
Mid-Senior level, hands-on IC