Director of Treasury Planning and Analysis (Burlington)

Director of Treasury Planning and Analysis (Burlington)

03 Oct
|
Surgery Partners
|
Burlington

03 Oct

Surgery Partners

Burlington

Surgery Partners is committed to complying with all applicable provisions of the Americans with Disabilities Act, as amended (“ADA”), and applicable state and local laws. It is the Company’s policy not to discriminate against any qualified people or applicant with regard to any terms or conditions of employment on the basis of such individual’s disability. Consistent with this policy of non-discrimination, the Company will provide reasonable accommodations to an individual with a disability, as defined in the ADA or applicable law, who has made the Company aware of his/her disability, unless doing so would cause an undue hardship to the Company.

If you are an applicant and need a reasonable accommodation when applying for job opportunities within the Company or request a reasonable accommodation to utilize the Company’s online employment application, please contact [email protected] is a hybrid position based at our corporate office located in Brentwood, TN, with on-site work required Monday through Wednesday. The Director, Treasury Planning & Analysis is responsible for leading the Company's enterprise cash flow forecasting, liquidity planning, capital allocation analytics, and executive financial reporting processes. This role provides strategic oversight of free cash flow forecasting, capital expenditure planning, physician distribution forecasting, cash flow conversion analysis, and treasury performance reporting.

The Director serves as a strategic partner to the Assistant Treasurer and Treasury leadership, leading the Company's enterprise cash flow forecasting, treasury analytics, and executive reporting functions. The role is responsible for delivering accurate forecasts, actionable financial insights, and comprehensive reporting to support liquidity planning, capital allocation decisions, and long-term financial strategy. The ideal candidate combines deep financial planning and treasury expertise with strong leadership capabilities, exceptional business acumen, and a proven ability to influence outcomes across a complex, high-growth organization.

Enterprise Cash Flow

Forecasting & Liquidity Planning Lead the development and management of the Company's short-term and long-range enterprise cash flow forecasting processes. Lead the execution and continuous improvement of forecasting methodologies, governance processes, and reporting standards established by Treasury leadership. Support liquidity planning, cash positioning analyses, and funding forecasts for review by the Assistant Treasurer and Treasurer.

Evaluate forecast performance and drive continuous improvement through enhanced analytics, automation, and business partnership. Lead scenario planning and stress testing activities to evaluate the impact of operational, financial, and market conditions on liquidity and cash generation.



Prepare and present cash flow forecasts, liquidity analyses, and performance reporting to Treasury leadership, executive management, and other stakeholders.

Serve as the functional owner of enterprise free cash flow forecasting and reporting. Develop executive-level dashboards, scorecards, and reporting packages highlighting key cash flow and liquidity metrics. Lead monthly, quarterly, and annual reporting of free cash flow performance and underlying business drivers.

Provide insight into operating cash flow trends, working capital performance, and opportunities to improve cash generation. Prepare and deliver materials supporting Board meetings, Executive Leadership Team reviews, lender reporting, and investor-related analyses. Establish performance measurement frameworks around cash flow conversion and capital efficiency metrics.

Capital Expenditure

Planning & Governance Lead the Company's capital expenditure budgeting, forecasting, reporting, and variance analysis processes. Oversee compliance with the Company's Capital Investment Policy and established approval authorities, ensuring appropriate governance and documentation of capital investments. Provide management with insights into capital deployment performance and support executive and Board reporting related to capital investment activities Treasury Analytics & Strategic Financial Planning Develop sophisticated financial models supporting liquidity planning, capital structure management, debt reduction strategies, and strategic initiatives.

Lead analysis of cash flow conversion performance and identify opportunities to improve enterprise cash generation.

Support

Treasury's capital markets activities through modeling, forecasting, and financial analysis. Evaluate financial risks and provide recommendations to optimize liquidity, improve financial flexibility, and support growth objectives. Serve as a key strategic partner to Treasury, FP&A;, Accounting, Operations, Tax, Investor Relations, and executive leadership teams.

Partner with business leaders to improve accountability for forecasting inputs, assumptions, and cash flow performance metrics. Support special projects, acquisitions, financing activities, and other enterprise initiatives as requested by senior leadership. Promote strong governance, internal controls, and compliance with company policies and reporting requirements.

Bachelor's degree in Finance, Accounting, Economics, or related field required; MBA preferred.



~8-12 years of progressive experience in Treasury, FP&A;, Corporate Finance, Investment Banking, or related finance functions, including experience leading forecasting and reporting processes. ~ Significant experience leading cash flow forecasting, liquidity management, and strategic financial planning processes. ~ Demonstrated success developing executive-level reporting and supporting C-suite decision-making. ~ Experience leading cross-functional initiatives and influencing senior stakeholders in complex organizations. ~ Public company experience strongly preferred. ~ Healthcare, multi-site operations, or ASC industry experience preferred. ~ CPA, CFA, CTP, or other relevant professional designation is a plus. Proven ability to synthesize complex financial information into executive-level insights and recommendations. Advanced proficiency in Microsoft Excel, Power BI, financial planning systems, and data analytics tools.

Excellent communication and presentation skills with demonstrated success interacting with senior executives and Board-level audiences. Robust leadership, organizational, and project management abilities. Hybrid work environment with limited travel.

Occasional extended hours may be required during forecasting cycles, strategic planning processes, financing activities, and Board reporting periods. Comprehensive health, dental, and vision insurance ~ Health Savings Account with an employer contribution ~ Life Insurance ~ 401(k) retirement plan with a company match ~ ENVIRONMENTAL/WORKING CONDITIONS: Normal busy office environment with much telephone work. We value diversity and are committed to fostering an inclusive environment that supports innovation, collaboration, and professional growth. ~ com or LinkedIn, please know that pay bands are auto assigned and may not reflect the true pay band within the organization.

Equal Employment Opportunity & Work Force Diversity Our organization is an equal opportunity employer and will not discriminate against any employee or applicant for employment based on race, color, creed, sex, religion, marital status, age, national origin or ancestry, physical or mental disability, medical condition, parental status, sexual orientation, veteran status, genetic testing results or any other consideration made unlawful by federal, state or local laws. This practice relates to all personnel matters such as compensation, benefits, training, promotions, transfers, layoffs, etc. Furthermore, our organization is committed to going beyond the legal requirements of equal employment opportunity to take positive actions which ensure diversity in the workplace and result in a multi-cultural organization.

Surgery Partners conducts pre-employment screenings including but not limited to criminal background checks and drug testing. #

📌 Director of Treasury Planning and Analysis (Burlington)
🏢 Surgery Partners
📍 Burlington

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