Corporate Treasurer
Paradigm Healthcare Services
Job DetailsJob Location: Paradigm Houston - Houston, TX 77056Position Type: Full TimeJob Shift: DayJob Category: AccountingCorporate Treasurer
Summary/Objective
The Corporate Treasurer is responsible for overseeing the company’s liquidity, cash flow forecasting, banking relationships, financial risk management, and working capital operations, including Accounts Receivable and Accounts Payable. This role serves as the central control point for enterprise cash management, ensuring disciplined oversight of cash inflows and outflows, strong internal controls, and alignment with the company’s strategic and operational objectives.
This role provides leadership and oversight of Treasury, Accounts Receivable, and Accounts Payable functions to ensure optimized cash flow, timely collections, efficient disbursement processes, and achievement of enterprise liquidity goals.
This position plays a critical role in driving the company’s overall working capital performance, including ownership of collection initiatives, reimbursement oversight, and revenue cycle collaboration to support the organization’s goal of collecting 98% of accounts receivable.
Key Responsibilities
Treasury and Liquidity Management
- Own and execute all cash management activities, including monitoring daily cash positions and ensuring proper controls over fund movement.
- Own and maintain a 13-week rolling cash flow forecast, including weekly variance analysis, scenario planning, and actionable insights.
- Advise management on liquidity implications of short and long-range planning.
- Manage banking relationships, including lines of credit, treasury services, and borrowing base reporting.
- Support capital structure planning, including debt utilization, intercompany funding, and liquidity optimization across entities.
- Monitor and support compliance with debt covenants and lender requirements.
- Own and control all cash disbursements (wires, ACH, etc.), including timing, prioritization, and approval.
- Oversee borrowing base eligibility analysis related to accounts receivable and ensure accuracy of supporting schedules.
- Serve as the primary owner of day-to-day liquidity management, ensuring no reliance on CFO involvement for routine cash operations.
Accounts Receivable and Revenue Cycle Oversight
- Provide executive oversight of the Accounts Receivable function, including billing, collections, reimbursement follow-up, and denial resolution.
- Lead initiatives to optimize cash collections and reduce days sales outstanding (DSO).
- Partner closely with Operations, Regional Business Office Director, and external revenue cycle partners to drive collection performance and accountability.
- Monitor AR aging, collection trends, and reimbursement issues, with a focus on Medicare, Medicaid, Managed Care, Private Pay, and ancillary revenue.
- Develop and maintain AR dashboards and KPIs, including collection rate, DSO, Medicaid pending balances, and aging by payer category.
- Lead recurring AR review meetings to identify barriers, **escalate** issues, and establish action plans for aged receivables.
- Support implementation of best practices in billing and collections to improve cash flow and reduce bad debt expense.
- Ensure accurate and timely recording of contractual adjustments, write-offs, and reserve estimates.
- Drive achievement of the company’s AR collection objectives, including the strategic goal of collecting 98% of receivables.
Accounts Payable Oversight
- Provide direct leadership of Accounts Payable performance, ensuring alignment with company cash flow and working capital objectives.
- Ensure timely and accurate processing of vendor payments while maintaining strong approval and control procedures.
Supervisory Responsibility
This position supervises the Regional Business Office Director, external AR vendor, Treasury Manager, and Accounts Payable Manager.
Qualifications
- Bachelor’s degree in Finance, Accounting, or related field (CPA/CFA preferred).
- 10+ years of experience in treasury, finance, or accounting roles, with increasing responsibility, including AP.
- Experience with multi-entity structures and Healthcare/SNF experience.
- SNF billing experience preferred.
Required Skills
- Excellent understanding of cash management, banking operations, and internal controls.
- Experience working with lines of credit and borrowing base structures preferred.
- Excellent communication and leadership abilities.
- Executive presence and ability to interact effectively with lenders, owners, and senior leadership.
Key Performance Indicators
- 13-week rolling cash flow forecast accuracy >90%.
- Daily cash reporting accuracy and timeliness (no surprises).
- DSO maintained within established targets.
- Timely execution of all payments with zero control failures.
Position Type and Expected Hours of Work
This position supports healthcare facility operations that operate every day of the year. Although this is generally a Monday through Friday position, there will be scheduled times of work on the weekends and holidays. Significant events can occur at any given time that require working. Ongoing direction and support may be necessary if systems are not properly implemented, continuously improved, and monitored.
Work Environment and Physical Demands
This position routinely uses standard office equipment such as computers, phones, photocopiers and may require some use of machinery consistent with the job duties.
While performing the duties of this position, the employee is regularly required to talk and hear. This position at times requires the ability to walk, sit, use hands, reach, climb, stoop, bend, kneel, twist, and lift as necessary.
Other Duties
Please note this job description is not designed to cover or contain a comprehensive listing of activities, duties or responsibilities that are required of the employee for their job. Duties, responsibilities, and assignments may change at any time with or without notice.
Reasonable Accommodation
Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions of this position.
#J-18808-Ljbffr$40 - $45 per hour
...tables and VLOOKUPs/XLOOKUPs Work closely with the CFO, Assistant Treasurer, and broader finance leadership in a highly collaborative, in-... ...field preferred 3+ years of treasury, cash management, or corporate finance experience preferred Public company experience strongly...SuggestedPermanent employmentContract work- ...Location: Houston Responsibilities Partner with the Assistant Treasurer to support the Company?s liquidity and funding requirements Coordinate... ...field Experience in treasury operations, cash management, or corporate finance Strong understanding of: Cash management Banking...SuggestedTemporary work
$120k
...INSPYR Solutions is seeking a Senior Treasury & Corporate Finance Analyst to join a dynamic finance team. This role is critical in managing the company’s liquidity, banking relationships, debt compliance, and financial risk, while also supporting strategic corporate finance...SuggestedTemporary work- Who is Eventellect? Through passion and industry expertise, Eventellect helps professional and collegiate sports and entertainment properties achieve their long-term strategic goals and grow total net ticket revenue. Our industry-leading technology capabilities and strategic...SuggestedWeekly payTemporary workRelocation
- ...cash controls, support transaction processing, and strengthen treasury reporting processes. This role provides hands‑on exposure to corporate treasury operations within a rapidly scaling organization. Requirements Responsibilities Cash Management & Reporting Prepare and...SuggestedFull timeTemporary workWork at office
$85k - $90k
...support strategic decision-making and optimize financial performance. The ideal candidate has strong treasury, accounting, audit, or corporate finance experience and advanced Excel capabilities. Key Responsibilities Support treasury and financial assurance activities...Contract work- Eventellect is seeking a Senior Treasury Analyst to partner with the Controller and Accounting team, owning payment operations and settlements for partners across leagues and events. You will manage cash flow, reconciliations, and reporting to ensure smooth revenue processes...Relocation package
- SunStrong Management is seeking a Senior Treasury Associate to support daily treasury operations with a focus on KYC documentation, bank account administration, and cross‑functional coordination. This role offers growth into broader treasury responsibilities in a fast‑paced...
- ...Responsibilities Bank Account Management and KYC Support Assist with documentation for the opening, closing, and maintenance of corporate bank accounts and banking services. Support the collection, organization, and submission of Know Your Customer (KYC) and related...
- ...or related fields. Certified Treasury Professional (CTP) is a plus. Minimum of four years of finance-related experience within a corporate treasury function. Advanced Microsoft Excel skills and proficiency in ERP systems (preferably PeopleSoft). Effective communicator,...16 hoursFull time
$40 - $44.3 per hour
...treasury management systems. Knowledge of cash forecasting, bank reconciliations, and treasury operations. 2-5 years of treasury or corporate finance experience. Experience with merchant card programs and banking platforms. Certified Treasury Professional (CTP)...Hourly payTemporary workWork experience placementShift work1 day per week- ...Review and prioritize incoming financial assurance requests, assigning work across the team Coordinate with business unit leaders, corporate management, surety brokers, and financial institutions to keep instruments within policy and available credit lines Monitor the...Work at officeRemote work
- ...recommend correct course of action to achieve desired results. Collaborate and coordinate efforts between business unit management, corporate management and external surety brokers and financial institutions to ensure that instruments presented are within specifications,...Temporary workFor contractorsWork at office
$42 per hour
...including floating rate settings. Requirements: Bachelor's Degree in Accounting, Finance, or a related field. 2+ years of experience in Corporate Treasury, Treasury Operations, or Capital Markets. Experience with SAP systems (from ECC to S4/HANA) and Treasury Management...Contract work- We are seeking a Treasury Analyst to join a collaborative corporate accounting and finance team. This role plays a key part in managing daily cash activity, treasury operations, debt compliance, and investor‑related reporting for a growing energy‑focused organization....Full timeTemporary workWork at office
- ...Qualifications Bachelor’s degree in Finance, Accounting, Economics, or a related field. 5+ years of progressive experience in treasury, corporate finance, cash management, or a related discipline. Strong experience with cash forecasting and liquidity management. Experience...Temporary work
- ...regulatory documentation Analyze banking services, fees, and financial trends to identify efficiencies and cost savings Administer corporate card programs and ensure policy compliance Assist with treasury-related projects, process improvements, and system enhancements...Hourly payContract work
- Burnett Specialists Staffing | Recruiting is seeking a Treasury Analyst to support daily treasury operations, including cash management and financial reporting. The analyst will partner closely with finance, accounting, and banking partners to ensure effective cash operations...
- Job Opportunities for Employees with Faith Houston Christian University is committed to maintaining a teaching faculty and staff who share an active Christian faith. The Preamble to the By-Laws of the University sets forth a statement of belief that each University employee...Temporary workBank staff
- ...treasury operational activity, including daily reconciliations, generating reports, audit assistance, and supporting the Assistant Treasurer and Treasurer as needed. Collaboration: Work closely with internal departments to align cash management practices with business...Long term contract
- Treasury Analyst, Cash Management The Treasury Analyst, Cash Management provides analytical and operational support to Treasury Operations. This role is responsible for managing daily cash administration activities, minimizing the organization's exposure to credit, ...
- Fervo Energy is seeking a Treasury Analyst to support day‑to‑day cash operations, reporting, and controls. You will collaborate with Accounting and external banking partners to maintain cash visibility and accurate financial reporting in a fast‑growing energy company. The...Work at office
- Guaranty Bank & Trust in Houston is seeking a Treasury Risk Specialist to support the Treasury Management risk and control environment. You will monitor activity, identify risks, and ensure Treasury services comply with policies and regulations. This is a Full-Time, Hourly...Hourly payFull time
- Kforce Inc. in Houston, TX is seeking a Treasury Analyst to support daily cash management and treasury operations. You will forecast cash needs, manage liquidity, and prepare regular cash position reports, working with banking partners and internal teams to optimize processes...
$89.7k - $149.5k
...people, systems, and data that power the world’s largest organizations so they can seize a competitive advantage. BMC's dynamic corporate teams are strategic and trusted advisors to the global organization supporting, enhancing, and driving BMC's vision, culture, growth...- BMC Software, Inc. seeks a Technical Treasury Analyst to bridge treasury and IT, driving testing, integrations, and automation across TMS, Power Platform, and AI agents. You will work with stakeholders to translate operational needs into scalable tech solutions, strengthen...
- WM in Houston, TX seeks a Treasury Analyst II to analyze financial assurance activities and support strategic decisions. This role collaborates across departments to drive efficiency and informs treasury and financial assurance initiatives with insights. The ideal candidate...
$120k
A financial services company in Houston is seeking a Senior Treasury & Corporate Finance Analyst. The position is crucial for managing liquidity, banking relationships, and compliance while also enhancing corporate finance strategies. The ideal candidate should possess...- Treasury Accountant Analyst The Treasury Accountant/Analyst plays a vital role in ensuring the financial stability and operational integrity of a payroll processing company. This individual is primarily responsible for accurate cash forecasting, comprehensive bank reconciliations...Temporary workWork at officeLocal area
- CFS in Houston is seeking a Treasury & FP&A Analyst to drive cash management, forecasting, and financial modeling in a hybrid role with two remote days per week. The position partners with finance and operations leadership to support business decisions and improve forecasting...Remote work2 days per week
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Corporate Treasurer. Be the first to apply!

