With a high caliber network and track record of success in executive recruitment spanning over 60 years in the DFW metroplex, we know what companies need and the top talent desired to take an organization to the next level. We create career trajectory for you by providing career changing opportunities, not just another job out in the marketplace. With a founding member team of industry veterans and experts in executive placement of Finance, Accounting and Tax professionals, we introduce unique opportunities to you, allowing for the career advancement you may seek.
Partnering with Ascension Search Partners also provides you with the tools to excel in interviews and beyond. Our highly experienced award winning executive recruitment team will give you the assistance needed to make your next interview a success. We work closely with you every step of the way on career advice, resume writing tips and improvements, and interview preparation and coaching. We are here to help you ascend and hit those career goals you have been targeting.
Current Openings
Ascension Search Partners has been engaged by a middle market, private equity backed healthcare company who are hiring a Senior Manager, Treasury & Finance. This role will have primary oversight of credit agreement and compliance reporting, and the cash flow forecast for the company. This is a highly visible role partnering with the PE firm and working under an experienced CFO, and overseeing a team. This role will be instrumental in ensuring financial visibility for executives and driving process efficiencies and creating value. The ideal candidate is a driven, energetic treasury and finance professional with experience working in a PE backed company who thrives in a dynamic environment.
Responsibilities:
- Cash Flow Forecasting: Develop, maintain, and refine a rolling 13-week cash flow forecast. Create and maintain a short- and long-term liquidity forecast with the ability to anticipate necessary changes related to seasonality and macro-economic impacts. Prepare and present detailed cash flow reports to the board of directors, private equity partners, and senior management, ensuring accuracy and timeliness.
- Credit Agreement Compliance and Reporting: Ensure all credit agreements are adhered to and produce regular compliance reports for internal and external stakeholders, including private equity owners, banks and senior management.
- Treasury Activities and Cash Management: Oversee daily treasury operations, including cash management, liquidity planning, and funding activities. Prepare and analyze cash flow statements and related financial documents.
- M&A: Lead treasury M&A integration efforts in partnership with corporate development and finance stakeholders.
- Special Projects: Support the CFO with various special projects as needed. This may include financial modeling, strategic planning, mergers and acquisitions due diligence, and other high-impact initiatives.
Skills and Qualifications:
The ideal candidate is a strong analytical finance professional with experience in 13 week cash flow forecasting and complex debt agreements. Experience working in a PE backed company required.
If you are ready to elevate your game, bring on exceptional leadership capable of driving peak performance, have general inquiries about our search process or firm, please contact us by completing the form provided here. We look forward to hearing from you.
25 Highland Park Village
Suite 100-745
Dallas, Texas 75205
214-501-1040
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