Devoted Health

Senior Treasury Manager

Devoted Health$110K — $150K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • 10+ years experience in cash management and treasury operations, ideally in a large corporate setting
  • Bachelor's degree in accounting or finance; Certified Treasury Professional (CTP) credential required
  • Proficient in international treasury activities and multi-currency cash management
  • Experience with Treasury Management Systems (Kyriba) and general ledger software like NetSuite
  • Strong communication skills with the ability to present to various stakeholders

Responsibilities

  • Build treasury infrastructure for commercial and international operations
  • Manage debt portfolio and ensure compliance with covenants
  • Drive cash positioning, liquidity, and forecasting for all entities
  • Oversee capital flows and short-term investments
  • Lead treasury controls, audits, and policy administration
  • Own the Treasury Management System (Kyriba) and ensure compliance with controls
  • Develop external banking relationships and lead treasury projects

Benefits

  • Employer-sponsored health, dental, and vision plan with low or no premium
  • Generous paid time off
  • Monthly stipend for mobile or internet expenses
  • Stock options available for all employees
  • Bonus eligibility for non-director roles
  • Parental leave program
  • 401K program with additional benefits
Full Job Description
Job Description

A bit about this role:

As a senior member of Devoted Health's treasury and cash management function, the Senior Treasury Manager will partner with the Treasury Director to lead treasury and cash management activities across our operating, regulated, and clinical entities - and to build the treasury infrastructure required to support potential expansion into international markets and into commercial lines of business.

Primary responsibilities include international and cross-border banking, the payment operations that support our provider/practice and commercial businesses, debt management and covenant compliance, cash and liquidity management, and supporting the management of internal stakeholder and third-party banking relationships.

This role is currently scoped as an individual contributor, with the potential for future management. We are looking for someone who can operate hands-on today and step into leading and developing a team as the function scales.

We expect this role to be integral to ensuring the integrity, accuracy, consistency, and transparency of cash and treasury reporting across our overall finance function.

Your Responsibilities and Impact will include:
  • Build treasury infrastructure for international and commercial expansion - in-country account structures, multi-currency cash management, and the banking and payments rails supporting new regulated, international, and commercial entities.
  • Manage the debt portfolio and covenant compliance calendar - revolver, letters of credit, and surety bonds; prepare and certify covenant calculations and all recurring lender reporting; partner with Legal and Accounting on credit agreement interpretation and maintain a controlled record of debt documentation
  • Drive daily cash positioning, liquidity, and forecasting across all entities - concentration and funding adequacy, short- and long-term forecasts with variance analysis and liquidity impact, serving as escalation point for daily cash operations
  • Manage capital flows and short-term investments - intercompany funding, capital contributions, and dividend planning with Accounting, Tax, and Legal; invest excess cash within board- and regulator-approved policy guidelines
  • Lead treasury controls, audit, and policy administration - ICFR activities across the cash management function including annual certification, quarterly investment concentration risk monitoring against health insurance regulations, audited financial statement footnotes and disclosures, and treasury policy administration
  • Own the Treasury Management System (Kyriba) - implementation of new modules to support operations and manage adherence to IT and general controls
  • Serve as a banking and payments SME while developing the team and external relationships - lead cross-functional treasury projects; coach and develop staff with direct management as the function scales; manage banking partners, payment processors, custodians, and technology vendors including pricing negotiation, service reviews, and bank fee analysis; partner across Accounting, FP&A, Tax, Legal, Compliance, Claims, and the clinical and provider organizations


Required skills and experience:
  • Experience and credentials: 10+ years of progressive cash management and treasury operations experience, preferably in a large corporate treasury environment; Bachelor's degree in accounting or finance required, Certified Treasury Professional (CTP) accreditation required; prior team lead or people management experience
  • International treasury experience. Multi-currency cash management, cross-border funding, FX exposure management, and standing up in-country bank account structures
  • Industry and systems: experience supporting commercial lines of business, healthcare or insurance background with Medicare Advantage and statutory/regulated entity familiarity; demonstrated experience with Treasury Management Systems (Kyriba) and BAI2 / ISO 20022 file formats required, NetSuite or comparable general ledger software, and general knowledge of AI tools to automate treasury processes required.
  • Hands-on experience with debt compliance and management covering credit agreements, covenant and borrowing reporting, and lender relationship management; ACH and NACHA rules experience required
  • Communication and tools: excellent written and verbal communication skills, including the ability to present to senior leadership, auditors, regulators, and external partners; advanced spreadsheet proficiency and strong general computer skills required


Desired skills and experience:
  • Proven delivery in changing, complex, high-growth environments, with sound judgment in ambiguous situations - particularly when standing up processes in new markets and new lines of business. Able to independently manage multiple demands and competing priorities, meeting deadlines on a continuous basis.
  • Results oriented with an aptitude for analytical solutions - identifies the actions needed to complete tasks and obtain results, and contributes from day one. Comfort as a hands-on individual contributor today, with the capability and appetite to lead and develop a team as the function scales.
  • Strong attention to detail with excellent documentation and organizational skills; adheres to and improves policies and procedures
  • High ethical standards at all times, including maintaining the confidentiality of financial and other sensitive information consistent with moral, professional, and regulatory requirements
  • Investment knowledge preferred
  • MBA preferred.


#LI-Remote

Salary range: $110,500 - $150,000 / year

The pay range listed for this position is the range the organization reasonably and in good faith expects to pay for this position at the time of the posting. Once the interview process begins, your talent partner will provide additional information on the compensation for the role, along with additional information on our total rewards package. The actual base salary offered will depend on a variety of factors, including the qualifications of the individual applicant for the position, years of relevant experience, specific and unique skills, level of education attained, certifications or other professional licenses held, and the location in which the applicant lives and/or from which they will be performing the job.

Our Total Rewards package includes:
  • Employer sponsored health, dental and vision plan with low or no premium
  • Generous paid time off
  • $100 monthly mobile or internet stipend
  • Stock options for all employees
  • Bonus eligibility for all roles excluding Director and above; Commission eligibility for Sales roles
  • Parental leave program
  • 401K program
  • And more....


*Our total rewards package is for full time employees only. Intern and Contract positions are not eligible.

About Devoted Health

Devoted Health is a healthcare company that provides Medicare Advantage plans to seniors. The company was founded in 2017 by brothers Todd and Ed Park, and is headquartered in Boston, Massachusetts. Devoted Health aims to provide high-quality healthcare to seniors by using technology and data to improve the healthcare experience. The company offers a range of Medicare Advantage plans that include medical, dental, and vision coverage, as well as prescription drug coverage. Devoted Health has raised over $1.8 billion in funding to date, and is backed by investors such as Andreessen Horowitz, Fidelity, and Oak HC/FT.
Learn more about Devoted Health
Size
1,000 employees
Industry
Founded
2017

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