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Integer Holdings Corporation

Vice President, Treasurer

Posted 20 Days Ago
Be an Early Applicant
In-Office or Remote
2 Locations
Expert/Leader
In-Office or Remote
2 Locations
Expert/Leader
The Vice President, Treasurer will lead treasury strategy, manage cash liquidity, oversee compliance, and optimize financing while ensuring risk management and governance in alignment with corporate objectives.
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By living according to a common set of values, we create a culture that unifies, embraces the uniqueness we all bring to the company, and positions Integer for long-term success.

At Integer, our values are embedded in everything we do.

Customer

We focus on our customers’ success

Innovation

We create better solutions

Collaboration

We create success together

Inclusion

We always interact with others respectfully

Candor

We are open and honest with one another

Integrity

We do the right things and do things right

Accountabilities & Responsibilities:

  • Adheres to Integer’s Values and all safety, environmental, security and quality requirements.
  • Provides leadership to Associates in all areas including: hiring, performance management and objective setting, coaching, counseling and corrective actions.
  • Performs other duties as required.

Treasury Strategy & Leadership:

  • Assists the CFO to manage a comprehensive global treasury strategy, ensuring alignment with business objectives and financial goals.
  • Provide leadership and vision to the treasury team, setting clear goals, driving innovation, and optimizing financial processes, while managing relationships with various banking partners.
  • Serve as a key advisor to the CFO and executive leadership on matters related to liquidity, capital allocation, and financial risk management.

Cash & Liquidity Management:

  • Oversee cash flow forecasting to ensure adequate liquidity for operations, strategic investments, and unforeseen contingencies.
  • Manage banking relationships, negotiating favorable terms and ensuring optimal cash positioning.
  • Develop and maintain a global cash management framework, ensuring funds are deployed efficiently across international markets.
  • Oversight and management of liquidity programs, such as accounts receivable factoring

Capital Structure & Financing:

  • Lead capital structure planning, determining the optimal mix of debt and equity financing to support company growth.
  • Oversee debt issuance, credit facilities, and refinancing strategies, ensuring cost-effective access to capital.
  • Work closely with investors, rating agencies, and financial partners to maintain strong credit ratings and a favorable corporate image.

Risk Management & Hedging Strategies:

  • Identify and mitigate financial risks related to foreign exchange, interest rates, and commodities, ensuring strategic hedging.
  • Implement and monitor financial risk management policies in alignment with industry regulations and company objectives.
  • Conduct periodic risk assessments, leveraging analytics to refine treasury strategies.

Regulatory Compliance & Governance:

  • Ensure compliance with financial regulations, tax laws, and corporate governance requirements, reducing operational risk exposure.
  • Monitors compliance with credit agreements and indentures. Oversees the preparation of the quarterly compliance package provided to Lenders.
  • Oversee SOX compliance and internal controls related to treasury functions, safeguarding assets and financial integrity.
  • Stay up-to-date on regulatory changes impacting corporate finance in the healthcare and medical devices industry.

Corporate Investments & Asset Management:

  • Manage corporate investments, optimizing short-term and long-term asset allocation strategies.
  • Lead global insurance program management including property, casualty, worker's compensation, product liability, directors and officers and other specialty coverages, mitigating operational risks through effective coverage strategies.

Stakeholder Engagement & Communication:

  • Collaborate with executive leadership, the Board of Directors, auditors, and financial institutions to drive financial excellence.
  • Present treasury reports, financial analyses, and capital strategy recommendations to internal and external stakeholders.

Technology & Treasury Operations:

  • Implement and leverage treasury management systems (TMS) and financial technology to enhance operational efficiency.
  • Drive automation and analytics initiatives to improve cash visibility, forecasting accuracy, and financial reporting.
  • Stay ahead of industry trends in treasury technology, integrating innovative solutions into financial strategies.

Education & Experience:

  • Minimum Education:  Bachelor’s degree in Accounting or Finance. MBA preferred.
  • Minimum Experience:  At least 15 years financial services/treasury management experience with 5+ years in senior leadership roles.

Knowledge & Skills:

  • Strong communication and interpersonal skills.
  • Deep understanding of cash management systems and insurance markets. Familiar with financial modeling and performing analytical reviews.  Strong analytical skills required.
  • Strong knowledge of global financial markets and corporate finance, with expertise in debt financing, liquidity management, FX and interest rate hedging, and insurance.
  • Experience with treasury management systems and financial modeling.
  • Exceptional leadership, negotiation, and stakeholder management skills.

U.S. Applicants: Equal Opportunity Employer. In addition, veterans and individuals with disabilities are encouraged to apply.

Top Skills

Financial Technology
Treasury Management Systems

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