We use cookies. Find out more about it here. By continuing to browse this site you are agreeing to our use of cookies.
#alert
Back to search results
New

Associate Director, Treasury - Global Cash

Vantive
parental leave, paid time off, paid holidays, 401(k), employee discount
United States, Illinois, Deerfield
1 Baxter Parkway (Show on map)
Jan 23, 2026

Vantive is a vital organ therapy company on a mission to extend lives and expand possibilities for patients and care teams everywhere. For 70 years, our team has driven meaningful innovations in kidney care. As we build on our legacy, we are deepening our commitment to elevating the dialysis experience through digital solutions and advanced services, while looking beyond kidney care and investing in transforming vital organ therapies. Greater flexibility and efficiency in therapy administration for care teams, and longer, fuller lives for patients- that is what Vantive aspires to deliver.

We believe Vantive will not only build our leadership in the kidney care space, it will also offer meaningful work to those who join us. At Vantive, you will become part of a community of people who are focused, courageous and don't settle for the mediocre. Each of us is driven to help improve patients' lives worldwide. Join us in advancing our mission to extend lives and expand possibilities.

The Associate Director, Treasury - Global Cash leads Vantive's global liquidity and cash management agenda. This role oversees daily cash positioning, forecasting, bank structures, intercompany funding, and global treasury operations. It manages two Senior Managers and partners crossfunctionally with regions, Finance, Tax, FP&A, Legal, Controllers, and external banking partners. Working closely with the Treasury Leadership Team, the position serves as a key advisor to the SVP & Treasurer, translating the 1-3 year liquidity strategy into executable plans and controls that ensure the company has the cash, systems, and governance needed to support a global manufacturing footprint and future growth.

Scope & Impact
  • Delivers outcomes through the management of multiple teams led by Senior Managers; accountable for performance across related units.

  • Owns short to midterm (1-3 years) strategy execution and operational direction for global cash management.

  • Resolves complex, unclearly defined issues by looking beyond existing methodologies; implements solutions considering multiple perspectives and future implications.

  • Controls planning, staffing, budgeting, and expense priorities across global treasury operations.

  • Influences change by negotiating and reconciling conflicting objectives across stakeholders and regions.

  • Applies advanced, crossfunctional knowledge to develop new techniques, models, and plans within area of expertise.

  • Develops and implements processes, standards, and operational plans with direct impact on business unit/function results (approx. 15-20%).

Global Cash & Liquidity Management
  • Translate global liquidity strategy into annual and quarterly cash plans, KPIs, and playbooks across all legal entities.

  • Lead global cash positioning, liquidity decisions, and deployment of cash; maintain consolidated reporting of unrestricted/restricted cash and shortterm investments.

  • Develop and continuously improve short and mediumterm cash flow forecasts in partnership with FP&A, Tax, Controllers, and regional finance.

  • Manage daily use of credit facilities and shortterm investments, balancing liquidity, cost, and risk; monitor cash conversion metrics (DPO/DIO/DSO/CCC).

  • Working in close coordination with the in-house bank and regional cash management to effectively utilize cash balances and position cash appropriately.

  • Champion working capital programs with business functions to improve cash generation and free cash flow.

Regional Cash Management Oversight (Americas & APAC)
  • Provide leadership to the Senior Manager overseeing the Americas and coordinating global cash activities, including bank funding and pooling structures.

  • Ensure Treasury policies are consistently applied across regions (e.g., account management, signatory controls, inhouse banking/netting) reducing trapped cash and external borrowing.

  • Partner with Tax and Legal on intercompany funding, repatriation, and legalentity cash optimization.

  • Coordinate with FX/risk management on hedge settlements and major currency exposures.

Treasury Operations & Controls
  • Lead the Senior Manager responsible for global treasury operations (settlements, payments, confirmations, and coordinating data with accounting reconciliations).

  • Maintain strong internal controls (segregation of duties, SOX compliance) and audit readiness; remediate findings and continuously strengthen control design.

  • Oversee global bank account master data, user access, and entitlements across banking platforms and Kyriba. Review and minimize portal users and access.

  • Identify and drive operational improvements that reduce manual work, enhance controls, and increase automation.

Banking Relationships & Capital Markets Support
  • Serve as a key point of contact for relationship banks on cash management, liquidity solutions, and operational performance.

  • Optimize the company's global banking footprint to support scale and control.

  • Support the Treasurer on financing activities (credit facilities, term loans, bonds, leases) through liquidity analyses and cash planning.

  • Partner with banks on implementation of new technologies (virtual accounts, pooling structures, and payment solutions).

Treasury Technology, Data & Process Optimization
  • Own the global Treasury Management System (TMS) roadmap and banking connectivity in partnership with IT and Treasury Operations.

  • Drive automation and standardization in cash forecasting, positioning, reporting, and bank data workflows; define data governance and quality controls.

  • Evaluate and pilot new treasury technologies and payment innovations that improve scale, control, and user experience.

Leadership & Talent Development
  • Lead, coach, and develop a highperforming team, including two Senior Managers and their teams; set clear expectations, goals, and development plans.

  • Conduct workforce planning, succession planning, and performance management; foster a culture of continuous improvement, risk awareness, and collaboration.

  • Promote diversity, equity, and inclusion; build a strong talent pipeline for treasury and finance roles.

Governance, Risk & Compliance
  • Develop and maintain treasury policies for cash management, liquidity, operations, and banking administration; ensure consistent global application.

  • Identify and mitigate operational, liquidity, and counterparty risks; monitor regulatory, banking, and payment developments across jurisdictions.

  • Lead Treasury's support of internal, external, and SOX audits; ensure timely remediation and sustainable control improvements.

Strategic Projects & M&A
  • Lead treasury components of M&A activity (e.g., cash transition plans, bank account setup, funding structures, and integration of treasury processes.)

  • Sponsor and/or lead enterprise initiatives (ERP/TMS implementations, shared service expansion, working capital programs).

  • Provide insights on longrange planning, scenario analysis, and capital structure planning from a liquidity perspective.

Qualifications Education
  • Bachelor's degree in Finance, Accounting, Economics, or related field required.

  • MBA or Master's in Finance preferred.

  • CTP or CFA strongly preferred.

Experience
  • 10+ years of progressive corporate treasury experience in a global organization, including direct people leadership of managers.

  • Expertise in global cash management, treasury operations, and banking infrastructure; handson experience with TMS (Kyriba, Quantum, SAP Treasury) and large ERP environments.

  • Demonstrated experience with global bank structures, pooling, intercompany funding, and shortterm liquidity management.

  • Background in manufacturing, medtech, life sciences, or similar multinational industries preferred.

Skills & Competencies
  • Advanced technical knowledge of global cash, liquidity planning, and treasury operations; ability to design new models and processes.

  • Excellent analytical skills, including cash flow modeling, scenario planning, and decision support.

  • Strong controls mindset with SOX experience; proven ability to design and sustain governance.

  • Comfort with treasury systems, ERP platforms, and banking technology; experience driving automation and data quality.

  • Ability to influence senior stakeholders and build strong crossfunctional partnerships across regions and functions.

  • Clear, concise communicator with skill in simplifying complex topics for diverse audiences.

  • Strong prioritization and project/program management skills; continuous improvement orientation focused on efficiency and scale.

We understand compensation is an important factor as you consider the next step in your career. At Vantive, we are committed to equitable pay for all employees, and we strive to be more transparent with our pay practices. The estimated base salary for this position is $152,000 - $210,000 annually. The estimated range is meant to reflect an anticipated salary range for the position. We may pay more or less than the anticipated range based upon market data and other factors, all of which are subject to change. Individual pay is based on upon location, skills and expertise, experience, and other relevant factors. For questions about this, our pay philosophy, and available benefits, please speak to the recruiter if you decide to apply and are selected for an interview.

US Benefits at Vantive

This is where your well-being matters. Vantive offers comprehensive compensation and benefits packages for eligible roles. Our health and well-being benefits include medical, dental and vision coverage that start on day one, as well as insurance coverage for basic life, accident, short-term and long-term disability, and business travel accident insurance. Financial and retirement benefits include the Aon Pooled Employer Plan ("Aon PEP"), Vantive's 401(k) retirement savings plan, to help you prepare for your future. The Aon PEP is designed to help improve retirement outcomes by providing retirement resources more efficiently. The plan offers a robust set of investment options, financial education, and a suite of resources to support your retirement goals.

We also offer Flexible Spending Accounts, educational assistance programs, and time-off benefits such as paid holidays, paid time off ranging from 20 to 35 days based on length of service, family and medical leaves of absence, and paid parental leave. Additional benefits include commuting benefits, the Employee Discount Program, the Employee Assistance Program (EAP), and childcare benefits. Join us and enjoy the competitive compensation and benefits we offer to our employees.For additional information regarding Vantive's US Benefits, please speak with your recruiter or visit our Benefits site: Benefits | Vantive

Equal Employment Opportunity

Vantive is an equal opportunity employer. Vantive evaluates qualified applicants without regard to race, color, religion, gender, national origin, age, sexual orientation, gender identity or expression, protected veteran status, disability/handicap status or any other legally protected characteristic.

Know Your Rights: Workplace Discrimination is Illegal

Reasonable Accommodation

Vantive is committed to working with and providing reasonable accommodations to individuals with disabilities globally. If, because of a medical condition or disability, you need a reasonable accommodation for any part of the application or interview process, please click on the link here and let us know the nature of your request along with your contact information. Form Link

Recruitment Fraud Notice

Vantive has discovered incidents of employment scams, where fraudulent parties pose as Vantive employees, recruiters, or other agents, and engage with online job seekers in an attempt to steal personal and/or financial information. To learn how you can protect yourself, review our Recruitment Fraud Notice.

Applied = 0

(web-54bd5f4dd9-dz8tw)