Treasury & Risk Manager - Omnicare
Core
Oversees treasury and risk management activities, setting strategic financial objectives and driving effective treasury operations for Omnicare.
Role type
Treasury & Risk Manager
Builds
Cash flow forecasts, debt financing strategies, risk mitigation programs, and liquidity management solutions.
Domain
Healthcare / Financial Services
Deliverable
production ML models | product features | dashboards & analysis | research | client delivery | infrastructure | physical/clinical work
Required skills
cash flow forecasting, debt financing management, risk assessment (interest rate, FX, credit), banking relationship management, financial modeling, regulatory compliance, internal controls design, capital budgeting, financial reporting
Preferred skills
Certified Treasury Professional (CTP), strategic financial planning, cross-functional collaboration
Technologies
N/A
Responsibilities
Direct company cash flows and optimize liquidity; develop accurate cash flow forecasts; coordinate banking relationships and manage accounts; assess and mitigate financial risks; direct debt financing operations; advise on short-term investment options; ensure compliance with treasury regulations.
Seniority
Mid-Senior, hands-on IC