Global Treasury & Cash Management Lead

Devoted Health

Waltham (MA)

On-site

USD 140,000 - 190,000

Full time

9 days ago
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Benefits offered by this job

Comprehensive health plan
401K retirement plan
Lyra mental health resources
Generous vacation and holiday time
Stock options

Job summary

Devoted Health seeks a Senior Treasury Manager to partner with the Treasury Director in leading treasury and cash management across operating, regulated, and clinical entities. You will build infrastructure to support international and commercial expansion, manage debt and covenant compliance, and optimize cash positioning and liquidity.

The role is hands-on today with potential to grow into leading a team as the function scales, ensuring accurate treasury reporting and strong internal controls

Qualifications

  • 10+ years in cash management and treasury operations
  • Bachelor’s in accounting/finance required; CTP preferred
  • Experience with Treasury Management Systems (Kyriba) and data formats (BAI2/ISO 20022)

Responsibilities

  • Lead international and cross-border banking operations.
  • Drive daily cash positioning, liquidity planning, and forecasting across entities.
  • Manage debt portfolio, covenant compliance, and lender reporting.
  • Build treasury infrastructure for international and commercial expansion.
  • Oversee treasury controls, ICFR, and policy administration.
  • Own Kyriba implementation and modules supporting operations.
  • Coach and develop staff as the function scales and partnerships expand.

Skills

Treasury management
Cash forecasting
Cross-border banking
Debt management
Team leadership
Banking relationships
Kyriba
Regulatory reporting
Financial analysis

Education

Bachelor's degree in accounting or finance
Certified Treasury Professional (CTP)

Tools

Kyriba
NetSuite

Job description

Devoted Health seeks a Senior Treasury Manager to partner with the Treasury Director in leading treasury and cash management across operating, regulated, and clinical entities. You will build infrastructure to support international and commercial expansion, manage debt and covenant compliance, and optimize cash positioning and liquidity.

The role is hands-on today with potential to grow into leading a team as the function scales, ensuring accurate treasury reporting and strong internal controls

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